PPrivate Fund Data Log in Join · $37/mo

Konektis Capital Management LP

CRD 327997SEC# 801-136962New York, NY
Export (members)
No longer SEC-registered. Konektis Capital Management LP appears in historical Form ADV filings but is not in the current SEC roster. Figures reflect its most recent filing.
Ranks #5,173 of 5,911 private fund managers by regulatory AUM.
Reg. AUM
$149.8M
Fund GAV
$25.3M
Private funds
1
Employees
3
Accounts
3
Location
New York, NY

Konektis Capital Management LP assets under management

Konektis Capital Management LP is an investment advisory firm registered with the SEC based in New York, NY. It reports $149.8 million in regulatory assets under management and employs 3 people. Konektis Capital Management LP manages 1 private fund with combined gross assets of $25.3 million, including Konektis Capital Partners Fund LP. By regulatory assets, it ranks 5,173 of 5,911 private fund managers.

Konektis Capital Management LP private funds

1 funds · $25.3M GAV
FundTypeGross assetsMin.
Konektis Capital Partners Fund LPHedge$25.3M$100K

Konektis Capital Management LP owners & executives

3 reported
NameTitleOwnershipSince
Eric Pessagno ControlLimited Partner50-75%2023
Konektis Capital LLC ControlGeneral PartnerUnder 5%2023
Parag Chandra Pande ControlChief Compliance Officer / Limited Partner50-75%2023

Frequently asked questions

How much does Konektis Capital Management LP manage?

Konektis Capital Management LP reports $149.8 million in regulatory assets under management on its Form ADV.

How many private funds does Konektis Capital Management LP manage?

Konektis Capital Management LP manages 1 private funds with combined gross assets of $25.3 million.

How many employees does Konektis Capital Management LP have?

Konektis Capital Management LP reports 3 employees.

Where is Konektis Capital Management LP located?

Konektis Capital Management LP is based in New York, NY.

Does Konektis Capital Management LP disclose fund performance?

Konektis Capital Management LP is not required to publicly disclose fund returns. Form ADV filings include assets, ownership, and service providers, shown above.

Contact & registration

Address26 Broadway, Suite 303, New York, NY 10004
Office hours8a.m.-5p.m.
Discloses disciplinary historyNo

Assets under management

Discretionary$149.8M
Non-discretionary$0
Total (RAUM)$149.8M

Service providers

Prime broker
Custodian