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MGR Capital Management
MGR Capital provides capital fund raising and private placement solutions, advising growth companies, family offices, fund of funds, sovereign wealth funds,...
MGR Capital Management
MGR Capital provides capital fund raising and private placement solutions, advising growth companies, family offices, fund of funds, sovereign wealth funds, pensions, and venture funds. It offers bespoke solutions to global family offices and serves as senior advisor to boards, CEOs, founders and entrepreneurs on C-Suite access, strategy, business development, and capital funding globally. Leadership has served as CEO advisor to 16 unicorns valued at $230 billion in market cap.
General information
Firm type
Private Equity
Location
Region
North America
Country
United States
City
New York
Corporate office
New York, NY, United States
Additional offices
San Francisco, CA, United States
Principals
Mike Ryan
Frequently asked questions
What is MGR Capital Management's track record in private placements?
No public record of completed capital raises, closed funds, or direct placements is verifiable through the firm's website or primary financial press. MGR Capital Management has not published transaction volumes, mandate sizes, or named fundraiser engagements. Investors evaluating the firm should request a detailed track record and references directly.
Who are the principals or senior team members at MGR Capital Management?
MGR Capital Management has not published biographies, names, or professional backgrounds of its principals, partners, or senior staff on its website or any other primary source. Without named operators, institutional due diligence on the team's experience, prior transactions, or industry expertise is not possible from public materials alone.
What types of private equity opportunities does MGR Capital Management handle?
The firm has not segmented its placement activities by asset class, fund strategy, or investment stage publicly. Its materials reference equity private placements broadly, without specifying buyout, growth, venture, real assets, or credit mandates. Asset allocators should obtain a precise mandate description and fund coverage list from the firm directly.
Profile maintained by Altss using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.
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