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SB Investment Advisers
SB Investment Advisers is a private equity firm based in London, UK. It pursues a Hybrid strategy and manages $89.3 billion in assets, with $4.8 billion in dry...
SB Investment Advisers
SB Investment Advisers is a private equity firm based in London, UK. It pursues a Hybrid strategy and manages $89.3 billion in assets, with $4.8 billion in dry powder. The firm has 286 staff, including 104 investment professionals.
General information
Firm type
Private Equity
Year founded
—
AUM
Undisclosed
Location
Region
North America
Country
United States
City
Florida, Palo Alto, Boston, Shanghai, New York, Pasadena, London, St. Petersburg, Brookline, Minneapolis
Corporate office
Multiple locations (Florida, Palo Alto, Boston, Shanghai, New York, Pasadena, London, St. Petersburg, Brookline, Minneapolis), United States
Additional offices
Palo Alto, CA · Boston, MA · Shanghai, China · New York, NY · Pasadena, CA · London, UK · St. Petersburg, FL · Brookline, MA · Minneapolis, MN
Frequently asked questions
Is SB Investment Advisers the entity behind SoftBank's Vision Fund?
No. SB Investment Advisers operates the domain visionfund.com but is a separate entity from SoftBank Group's Vision Fund program. The shared 'SB' initials and domain name create marketplace confusion, but no public evidence links this firm to SoftBank's $100B+ Vision Fund vehicles. Allocators should verify corporate structure independently before assuming any affiliation.
What investment stages does the firm cover?
The firm's documented strategy tags span seed, early-stage, start-up, expansion, late-stage, growth, PIPE, buyout, and hybrid mandates. This full-lifecycle coverage is unusual for a single entity and may indicate multiple fund products or a highly flexible allocation program rather than a single flagship fund.
Does the firm provide audited track-record data to prospective LPs?
Available public sources do not confirm whether SB Investment Advisers publishes audited financials, investor letters, or performance data. The visionfund.com domain contains minimal public disclosure. Institutional allocators should request audited track records and verify regulatory registrations directly with the firm.
Where is the firm regulated?
With offices in the US, UK, and China, the firm likely interacts with the SEC, FCA, and Chinese financial regulators, but specific registration status is not publicly confirmed. Allocators should check each jurisdiction's regulatory database before engaging.
Does the firm co-invest alongside external GPs?
The hybrid mandate tag in the firm's strategy documentation suggests flexibility for both direct investments and co-investment structures, but no specific GP relationships or co-investment transactions have been publicly identified.
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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