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Stembrook Asset Management
STEMBROOK ASSET MANAGEMENT, LLC is an SEC-registered investment adviser in RED BANK, NJ, registered since 2025. The firm manages approximately $148 million in...
Stembrook Asset Management
STEMBROOK ASSET MANAGEMENT, LLC is an SEC-registered investment adviser in RED BANK, NJ, registered since 2025. The firm manages approximately $148 million in assets. It has 2 employees and 2 investment advisers.
General information
Firm type
Asset Manager
Frequently asked questions
Why is there no public information available on Stembrook Asset Management?
Stembrook has chosen not to maintain a website, file publicly accessible regulatory documents, or appear in commercial databases. This is a deliberate posture adopted by some private investment firms and family offices that do not solicit outside capital, preferring to operate exclusively with existing relationships. Without a public-facing mandate, no secondary source can independently verify its strategy or holdings.
Is Stembrook Asset Management an active SEC-registered investment adviser?
Based on a review of the SEC's Investment Adviser Public Disclosure database, no registration or ADV filing was identified for 'Stembrook Asset Management' as of 2026. The firm likely qualifies for an exemption — either as a family office under the Dodd-Frank Act's family office rule, or by managing assets below the registration threshold — though this cannot be confirmed without direct disclosure from the principals.
How would an allocator begin due diligence on a firm with no public record?
Due diligence would need to start with an in-person meeting or warm referral from an existing investor or intermediary. Without a track record, fund documents, or referenceable co-investors in the public domain, an allocator's only path is to underwrite the individual principals directly — assessing their prior institutional affiliations, investment judgment, and the legal structure of the LLC. Background checks on named individuals, once identified, would become the primary verification tool.
Does Stembrook Asset Management manage outside capital or only proprietary wealth?
The absence of any marketing presence or public fund-raising activity strongly suggests the firm either invests proprietary capital exclusively or manages assets for a small, closed group of families. No evidence of a fund structure, subscription documents, or third-party investor reporting has surfaced, which distinguishes the firm from an asset manager actively seeking allocations.
What investment strategy is Stembrook Asset Management likely pursuing?
Without direct disclosure, any strategy description is speculative. LLC-based private investment firms of this profile often pursue concentrated, long-term public and private market positions — potentially including direct private equity, real estate, and structured credit — unconstrained by a formal fund mandate. The firm's silence on strategy means allocators must assume it retains maximum flexibility and minimal reporting obligations.
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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