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The Lambda Funds
The Lambda Funds is a private equity based in New York; the Altss profile covers its classification, headquarters, registration, AUM band, and key contacts for...
The Lambda Funds
A 28 year old venture capital fund investing in niche businesses
General information
Firm type
Private Equity
Location
Region
North America
Country
United States
City
New York
Corporate office
New York, NY, United States
Frequently asked questions
How does The Lambda Funds structure its investment stage coverage?
The firm pursues a generalist private equity strategy that includes early-stage venture capital, seed and start-up rounds, expansion and late-stage financings, management buyouts, and PIPEs. This single-mandate, multi-stage framework allows deployment across the full company lifecycle, though no publicly confirmed deals or portfolio companies are available to illustrate how capital is allocated among these strategies.
Does The Lambda Funds operate as a single-family office or an institutional fund manager?
The firm is classified as an asset manager structured as a private equity firm, not a family office. It maintains a New York headquarters and presents itself through a standalone website at lambdafund.com, though it does not disclose who its principals are or what its underlying investor base comprises.
Who runs investment decisions at The Lambda Funds?
No principals, investment committee members, or lead partners are publicly identified by the firm. The Lambda Funds does not maintain a LinkedIn page, and its website has not been scraped for team biographies. This absence of named decision-makers is unusual for an active asset manager.
What geographies does The Lambda Funds target?
The firm is headquartered in New York and its website indicates United States activity, but no specific regional or country-level investment mandates have been disclosed. No verifiable portfolio companies are publicly available to confirm geographic concentration.
Is there any way to verify The Lambda Funds' track record or AUM?
No. The firm does not publicly disclose assets under management, aggregate deployment figures, or specific portfolio companies. As a result, there is no public basis for evaluating realized returns, fund performance, or capital base scale. This opacity is consistent with a firm that may not be actively fundraising from institutional LPs.
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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