Asset ManagerRIA · CRD 302093SEC-RegisteredPrivate Fund Adviser

Updated:

MINK BROOK ASSET MANAGEMENT

MINK BROOK ASSET MANAGEMENT is a asset manager based in New York, founded 2010; the Altss profile covers its classification, headquarters, registration, AUM...

MINK BROOK ASSET MANAGEMENT

MINK BROOK ASSET MANAGEMENT LLC is an SEC-registered investment adviser since 2025. It is registered with the Securities and Exchange Commission.

General information

Firm type

Asset Manager

Year founded

2010

Location

Region

North America

Country

United States

City

New York

Corporate office

New York, NY, United States

Principals

John M. Angelo

Co-Founder, Chief Executive Officer & Chief Investment Officer

Michael L. Gordon

Co-Founder, Chief Operating Officer & General Counsel

Sector focus

Energy Transition & RenewablesReal EstatePrivate Credit

Frequently asked questions

Who runs investment decisions at Mink Brook?

John M. Angelo serves as Chief Executive Officer and Chief Investment Officer, chairing the investment committee. He co-founded the firm with Michael L. Gordon, who acts as Chief Operating Officer and General Counsel. Angelo's background includes tenure at Angelo, Gordon & Co., the alternative investment firm co-founded by his father, where Gordon also previously served as General Counsel prior to launching Mink Brook in 2010.

How is Mink Brook structured relative to Angelo Gordon?

Mink Brook Asset Management is an entirely independent entity from Angelo, Gordon & Co. The connection is familial and professional: John M. Angelo is the son of Angelo Gordon co-founder John M. Angelo Sr., and Michael Gordon is a former General Counsel of the larger firm. Mink Brook was established in 2010 as a separate platform, not a spin-out or subsidiary, and there is no current disclosed operational or capital relationship between the two firms.

What investment themes does Mink Brook target?

The firm organizes its deployment around three thematic verticals: sustainable real estate, energy transition infrastructure, and structured private credit. Within real estate, the focus is value-add and opportunistic acquisitions with an emphasis on building retrofit and electrification in constrained US markets. The energy transition strategy provides project finance and development capital for mid-market solar, battery storage, and efficiency assets, while the credit arm originates bespoke, asset-backed loans to sponsors operating in the same thematic corridors.

Does Mink Brook participate in fund commitments or only direct deals?

Mink Brook operates primarily as a direct investor making both equity and credit investments into individual assets and projects. It is not structured as a fund-of-funds, and public records do not indicate a material program of committing capital to third-party private equity or venture funds. The firm raises its own commingled vehicles for co-investors alongside its direct deployment activities.

What is Mink Brook's investment horizon and posture on liquidity?

The firm pursues an opportunistic, value-oriented approach that does not fit neatly into traditional buyout or perpetual-hold buckets. Real estate and infrastructure investments typically carry a 5- to 10-year hold period aimed at operational value creation through asset repositioning and sustainability improvements. Its structured credit positions are generally shorter-duration, reflecting the bespoke, transitional nature of the underlying sponsor loans.

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