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M13 HOLDINGS COMPANY

Business and Investment Profile

The M13 HOLDINGS COMPANY is a privately held investment adviser that advises $1.35Bn in regulatory assets under management held in 1 SEC fund types across 1 investment strategies. M13 HOLDINGS COMPANY is a Private Fund A private fund manager is a manager whose >=75% of total assets under management are in private funds (privately offered pooled vehicles for accredited or qualified investors, generally accessed through placements with higher minimums, restricted eligibility, and negotiated terms) Manager. Assets increased by 384.95% over the last 5-years.

Regulatory Profile

The Group has been registered with the SEC for 6.54 years and is comprised of 2 filing and 0 relying advisers. They operate out of 3 office locations with their Headquarters at 1800 AVE OF THE STARS SUITE 205, LOS ANGELES, CALIFORNIA. The Group has not been subject to regulatory enforcement actions. They are regulated by 1 US and Non-US bodies.

Asset Profile

Their $1.35Bn in assets advised are owned by 11 private funds, 0 public funds and BDCs and 0 other accounts. Assets of Pooled Investment Vehicles (Not IC or BDC) clients total $1.35Bn or 100% of Total Assets.

Investment Strategy Profile

The Group's top investment strategies include Early Stage, representing 100% of total assets, respectively.

Client Profile

They advise Venture Capital Fund fund type.

Service Provider Profile

The Group uses 1 Fund Administrators, 1 Fund Auditors, 0 Prime Brokers, 2 Custodians and 1 Marketers. It does not report a third-party Fund Administrator in 0 private funds with $0 in assets.

Fee Profile

The Group does not disclose any type of fee.

Sub-Advisers

M13 HOLDINGS COMPANY names 0 sub-advisers to 0 different funds advised by the group. The Group has been named as the sub-adviser to 0 funds.

Full profile: M13 HOLDINGS COMPANY

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Keywords: M13 Holdings, M13 Ventures Management
Generated 2026-09-12T06:49:13.4041907.  © 2026 Convergence.