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The PERFORMANCE EQUITY MANAGEMENT Profile
The PERFORMANCE EQUITY MANAGEMENT is comprised of investment advisers registered with the U.S. Securities and Exchange Commission. They provide advisory services to Public, Private, and Sub Funds.
It has been registered with the SEC for 23 years and consists of :
1
filing Adviser
that disclose
filing Adviser
that disclose
$9.53 bn
in regulatory assets under
management, a change of
-14.1% over the last
12-months
in regulatory assets under
management, a change of
-14.1% over the last
12-months
It reports 34 FTE's
a change of 0 Investment professionals and 0 non-Investment professionals
since 2023-08-31
a change of 0 Investment professionals and 0 non-Investment professionals
since 2023-08-31
Their primary address is
5 Greenwich Office Park Third Floor, Greenwich
Connecticut, United States and it lists
no additional offices.
5 Greenwich Office Park Third Floor, Greenwich
Connecticut, United States and it lists
no additional offices.
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Funds & Assets
Type of Accounts | # | Assets (BN) |
---|---|---|
High Net Worth Investors | ||
Individual Investors | ||
BDCs | ||
Public, Private, and Sub Funds | 23 | $4.53 |
Undisclosed | ||
Total Accounts and Assets | 32 | $9.53 |
Fund Type | # | Assets(BN) |
---|---|---|
Hedge Fund | ||
Venture Capital Fund | ||
Securitied Asset | ||
Private Equity Fund | ||
Real Estate Fund | ||
Liquidity Fund | ||
Other (hybrid) Fund | ||
Sub Fund | ||
Total Funds And Assets | 23 | $4.53 |
Asset Classes
Filing Advisers
A “filing adviser” is an investment adviser registered with the SEC that files a single umbrella registration on behalf of “Relying Advisers.”
Relying Advisers
PERFORMANCE EQUITY MANAGEMENT controls 0 Relying Advisers
A “relying adviser” is an investment adviser eligible to register with the SEC that relies on a filing adviser to file (and amend) a single umbrella registration on its behalf. For a group of private fund advisers that operate as a single advisory business to qualify for Umbrella Registration, they must meet the following five requirements.
- The Filing Adviser and each Relying Adviser advise only private funds and/or “qualified clients” in separately managed accounts that are otherwise eligible to invest in the private funds advised by the Filing Adviser or a Relying Adviser and whose accounts pursue investment objectives and strategies that are substantially similar or otherwise related to those private funds.
- The Filing Adviser’s principal office and place of business is in the United States, and all of the substantive provisions of the Advisers Act and rules apply to the Filing Adviser and each Relying Adviser.
- Each Relying Adviser, its employees, and persons acting on its behalf are subject to the Filing Adviser’s supervision and control.
- Each Relying Adviser’s advisory activities are subject to the Advisers Act and rules, and subject to SEC examination.
- The Filing Adviser and each Relying Adviser operate under a single code of ethics and written policies and procedures adopted and implemented in accordance with rule 206(4)-7 of the Advisers Act and administered by a single chief compliance officer in accordance with the rule.
Service Providers
Type of Service Provider | #SPs | #Funds | Asset(BN) |
---|---|---|---|
Outsource Fund Administrators | 1 | ||
Fund Auditor | 1 | ||
Custodians | 3 | ||
Third Party Marketer | 10 | ||
Outsourced Compliance Firms | 0 | ||
Inhouse Compliance | 0 | ||
Totals | 15 | 73 | $28.89 |
Type of Clients
Type Of Client | 2024 |
---|---|
Individuals | |
High Net Worth Individuals | |
Banking of Thrift Institutions | |
Investment Companies (IC) | |
Business Development Companies (BDC) | |
Pooled Investment Vehicles (Not IC or BDC) | |
Pension and Profit Sharing Plans-Private | |
Government Entities and Pension Plans | |
Charitable Organizations | |
Other Investment Advisers | |
Insurance Companies | |
Sovereign Wealth Funds and Foreign Institutions | |
Corporations or Other Businesses | |
Other: | |
Total |
Sample of 3 Known Investors | Assets |
---|---|
Fund Strategies
Key Control Staff and Headcount
Name | Title | Telephone | Asset Class | |
---|---|---|---|---|
John Spencer Clark | Chief Executive Officer | Not Available | ||
Chris Bennett Millin | Chief Financial Officer | Not Available | ||
Jon William Deklerk | Chief Operating Officer | Not Available | ||
Jon William Deklerk | Chief Compliance Officer | Not Available | ||
Business Complexity/Risk
Top 5 13F Positions
Data not applicable or was not provided by the filing Manager.
Regulators
Name of Regulator | Acronym | Country | Yes/No | #Advisers | #Funds | #Affiliates |
---|---|---|---|---|---|---|
Ontario Securities Commision | Canada | Y | ||||
Quebec Financial Markets Authority | Canada | Y | ||||
Autorité Des Marchés Financiers | France | Y | ||||
Commodity Futures Trading Commission | United States | Y | ||||
Securities And Exchange Commission | United States | Y | ||||
Totals | 5 | 5 |
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