| Fund | Type | Gross assets | Min. |
|---|---|---|---|
| Gilead Capital Partners II, LP | Hedge | $22.2M | — |
| Gilead Capital Special Opportunities Fund I, LP | Hedge | $6.2M | $500K |
| Name | Title | Ownership | Since |
|---|---|---|---|
| Gilead Capital GP LLC Control | General Partner | Under 5% | 2016 |
| Jeffrey Alan Strong Control | Managing Partner And Chief Investment Officer | Over 75% | 2016 |
| Semanti Datta Kulkarni Control | Chief Compliance Officer, Partner And Analyst | 25-50% | 2017 |
Gilead Capital LP reports $28.4 million in regulatory assets under management on its Form ADV.
Gilead Capital LP manages 2 private funds with combined gross assets of $28.4 million.
Gilead Capital LP reports 3 employees.
Gilead Capital LP is based in New York, NY and has been SEC-registered since 2016.
Gilead Capital LP is not required to publicly disclose fund returns. Form ADV filings include assets, ownership, and service providers, shown above.
| Address | 157 Columbus Avenue, Suite 505, New York, NY 10023 |
| Phone | 646-693-6372 |
| Office hours | 8:00 a.m. To 5:00 p.m. |
| SEC region | New York Regional Office (NYRO) |
| CIK | 1689368 |
| Discloses disciplinary history | No |
| Discretionary | $28.4M |
| Non-discretionary | $0 |
| Total (RAUM) | $28.4M |