The PRINCETON VALUE PARTNERS is a privately held investment adviser that advises $57.44mn in regulatory assets under management held in 1 SEC fund types across 1 investment strategies. PRINCETON VALUE PARTNERS is a Hybrid A hybrid fund manager is a manager whose total assets under management are spread across multiple investment vehicle types rather than concentrated in one. Fund Manager. Assets increased by 187.2% over the last 4-years.
The Group has been registered with the SEC for 1.8 years and is comprised of 1 filing and 0 relying advisers. They operate out of 2 office locations with their Headquarters at 200 EAST 66TH STREET A-1901, NEW YORK, NEW YORK. The Group has not been subject to regulatory enforcement actions. They are regulated by 1 US and Non-US bodies.
They have 2 employees comprised of 1 investment and 1 non-investment staff. The total number of Employees decreased by 50% over the last 4-years.
Their $57.44mn in assets advised are owned by 3 private funds, 0 public funds and BDCs and 1 other account. Assets of Other Investment Advisers clients own $29.57mn or 51.48% of Total Assets and High Net Worth Individuals own $15.39mn or 26.79% of Total Assets.
The Group's top investment strategies include Long/Short Equity, representing 100% of total assets, respectively.
They advise 3 types of clients, top clients are Other Investment Advisers and High Net Worth Individuals.
The Group uses 1 Fund Administrators, 1 Fund Auditors, 0 Prime Brokers, 1 Custodians and 0 Marketers. It does not report a third-party Fund Administrator in 1 private funds with $283.43K in assets.
The Group discloses management fees and performance-based fees.
PRINCETON VALUE PARTNERS names 0 sub-advisers to 0 different funds advised by the group. The Group has been named as the sub-adviser to 0 funds.