Private Equity

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Upper Canada Equity Fund

Upper Canada Equity Fund is an early stage equity investment fund based in Prince Edward County, Ontario. It is co-located with the local Community Futures...

Upper Canada Equity Fund logo

Upper Canada Equity Fund

Upper Canada Equity Fund is an early stage equity investment fund based in Prince Edward County, Ontario. It is co-located with the local Community Futures organization. The fund has made 7 investments, including a Seed VC investment in Nectar on September 03, 2019.

General information

Firm type

Private Equity

Year founded

2015

AUM

Undisclosed

Location

Region

North America

Country

Canada

City

Picton

Corporate office

Picton, Ontario, Canada

Frequently asked questions

What does Upper Canada Equity Fund invest in?

The firm's mandate spans early-stage seed and start-up investing through to expansion and late-stage growth equity, per its own stated strategy. It does not publicly disclose sector preferences, fund structures, or minimum check sizes. No portfolio companies have been identified through public record.

Who runs Upper Canada Equity Fund?

No named principals or investment professionals are publicly associated with the firm. Upper Canada Equity Fund's website does not list a team page, and no executive leadership has been identified through regulatory filings or media coverage.

Where does Upper Canada Equity Fund source its deals?

Given its headquarters in Picton, Prince Edward County, the firm is positioned to source from Eastern Ontario and potentially broader Canadian markets beyond Toronto. However, no public information confirms its actual sourcing geography or origination model.

How large is Upper Canada Equity Fund?

Assets under management and total capital deployed are undisclosed. The firm does not appear in commercial databases tracking Canadian private equity fund sizes or institutional commitments, and no fundraising announcements have been identified.

Is Upper Canada Equity Fund a single family office?

The firm is classified as a private equity asset manager based on its stated structure, not a family office. The ownership and capitalization behind the fund are not publicly disclosed, so whether it operates with family-linked capital or third-party commitments cannot be confirmed.

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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