Asset ManagerRIA · CRD 282893SEC-RegisteredPrivate Fund Adviser

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PENFUND MANAGEMENT LIMITED

PENFUND MANAGEMENT LIMITED is a asset manager; the Altss profile covers its classification, headquarters, registration, AUM band, and key contacts for...

PENFUND MANAGEMENT LIMITED

PENFUND MANAGEMENT LIMITED is a Toronto-based investment adviser registered with the SEC since 2016.

General information

Firm type

Asset Manager

Location

Region

North America

Country

Canada

Corporate office

Canada

Frequently asked questions

Who runs investment decisions at PENFUND MANAGEMENT LIMITED?

No publicly named principals or investment committee members have been identified. The firm's governance structure is not a matter of public record. Institutional allocators seeking to evaluate the firm would need to request information directly.

How does PENFUND MANAGEMENT LIMITED source deal flow?

Deal sourcing methods are not publicly documented. The firm may rely on a network of industry contacts, co-investment relationships, or proprietary research, but no specific sourcing model has been disclosed. Allocators should inquire directly about origination practices.

What investment stages does PENFUND MANAGEMENT LIMITED typically target?

No explicit stage preference has been disclosed. Based on the firm's profile as a private investment manager, it may operate across growth equity, buyout, or credit stages, though no target ticket size or holding period is confirmed. This remains an unknown variable for due diligence.

Is PENFUND MANAGEMENT LIMITED a single family office or an asset manager?

The firm's public registration as PENFUND MANAGEMENT LIMITED suggests it operates as a professional asset manager rather than a family office. However, without a disclosed ownership structure, the distinction cannot be confirmed. The firm's corporate name does not indicate a family-specific mandate.

Which sectors does PENFUND MANAGEMENT LIMITED explicitly avoid?

No sector avoidance list has been publicly communicated. Without any disclosed investment strategy documentation, no positive or negative screening criteria can be inferred. This information would need to be obtained through direct contact with the firm.

Profile maintained by 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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