Credit Suisse Securities (USA) LLC

Fund of fundsClassification probableMiddle marketSEC registered investment adviser· New York, NYCREDIT-SUISSE.COM

Fund of funds, based in New York, NY.

Composed from this firm's filed classification and location. It has no published description on record.

Regulatory AUM
$805M
PE fund assets
$3.6B
PE funds
20
As of · identity and classification; each section below carries its own date

65 additional team members, 30 additional funds, deals and LP commitments

Every relationship, signal and contact on this record, with the source on each.

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

Nothing material in the last 180 days.

People to know

View all people
  • Chief Executive Officer, Board Member
    Why: Runs the firm (chief executive or president)
    No route on file yet
  • Head Of Operations
    Why: Head Of Operations at the firm
    No route on file yet
  • General Counsel
    Why: General Counsel at the firm
    No route on file yet

Capital path

who backs this record, through what, into what; each name opens its own path
Fund families
All 32
Credit Suisse Securities (USA) LLC
Lenders and advisers

Relationship network

39 connected entities

From announced deals and their parties, Form ADV and Form D filings, the firm's funds and team, and disclosed LP commitments in the private equity graph. Dollar figures appear only where a source disclosed one.

Some relationships on this record are counted rather than named here. They open with the full profile.

Click any name or line for the deals and sources behind it. Line weight is deals together; dashed lines are inferred.

Reading the network
  • Fund or vehicle
  • Person
›How strength and recency are read

Strength is read from the deals: three or more is a strong observed relationship, two a repeat counterparty, one a single interaction. People and vehicles are structural. Nothing is scored that a reader cannot check.

Darker lines were active in the last 24 months or are current; lighter lines are older or undated.

Classification, Form ADV and stated criteria

How this organization is classified, and on what basisFund of funds · 2 in historyShow
Class
Fund of fundsprobable, confidence 75%
Basis
21 of 33 admitted vehicles carry the sworn fund-of-funds flag and the name reads as a wealth or access platform
Size band
Middle marketdefined by: proxy: $3.55bn Private Equity Fund GAV on the Form ADV filed 2024-10-10
Classification history (2)
  1. Sep 23, 2026
    Fund of funds (probable, 75%)
    21 of 33 admitted vehicles carry the sworn fund-of-funds flag and the name reads as a wealth or access platform
  2. Sep 13, 2026
    Fund of funds (probable, 75%)
    21 of 31 admitted vehicles carry the sworn fund-of-funds flag and the name reads as a wealth or access platform
Regulatory footprint (Form ADV)RAUM $805M · 20 PE funds · filed Oct 10, 2024Show
Adviser type
Registered investment adviser
Form ADV filings
Mar 30, 2012 to Oct 10, 2024
RAUM
$805Mregulatory assets under management of the adviser; not dry powder, not a fund size
PE funds, latest filing
20
PE fund GAV, latest filing
$3.6Breported gross assets (Form ADV), not fund size
All private fund GAV
$3.6Bevery private fund type, latest filing
2024 PE fund GAV
$785Msum over funds typed Private Equity Fund with a 2024 or later as-of date
PE share of funds, lifetime
49%
Fund type mix
  • Private equity fund: 20 funds, $3.6B reported gross assets, 31 ever reported
  • Hedge fund: 32 ever reported
Form ADV filed Oct 10, 2024
Employees
39
Headquarters
New York, NY
Stated criteria beside observed behaviourno criteria stated · no observed deals yetShow
Stated by the firm
Sectors
not stated or not yet read
Geography
not stated or not yet read
Revenue
not stated or not yet read
EBITDA
not stated or not yet read
Enterprise value
not stated or not yet read
Equity check
not stated or not yet read
Control
not stated or not yet read
Thesis
not stated or not yet read
Observed from deals on record

Nothing observed yet. Behaviour is computed from transactions and portfolio relationships, which have not been collected for this firm.

Funds

32 families, 33 vehicles on record
  • DEP Dur · 1 vehicle · vintage 2023$34.5M
    • DEP Dur Fund of funds · 2023$34.5M
  • DEP Pet · 1 vehicle · vintage 2023$26.8M
    • DEP Pet Fund of funds · 2023$26.8M
  • DEP Mt · 1 vehicle · vintage 2022$64.8M
    • DEP Mt Fund of funds · 2022$64.8M

Decision makers

who to call first, and why; then everyone else by function

No one at this firm holds a partner, managing director or investment-lead title on record yet; the people named here are listed below by function.

Who else at this firm · 3 people, grouped by function
Board, advisers and operating partners (2)
  • Thomas Wipf · Chief Executive Officer, Board Member
    Why this person: Runs the firm (chief executive or president); Named with investment responsibility
  • Gary Hassell · Head Of Operations
    Why this person: Head Of Operations at the firm
Finance, operations and compliance (1)
  • Maria Chiodi · General Counsel
    Why this person: General Counsel at the firm

Ranked by the role the firm or its filing states, a route on file and deals led. Every reason is read from the record, never inferred. Routes are published by the person or the firm (their bio, the team page or a filing) and are revealed on a plan; data bought from a provider is never shown, and a route printed at a firm the person has since left is held back.

Team

6 current, 62 former

Deals

0 on record, newest first · 0 platforms · 0 add-ons
No deal naming this firm has been collected yet. Deals arrive from the firm’s portfolio page, SEC filings and cited announcements.

Placement agents, lenders, advisers and co-investors

1 relationship
Placement agents (1)

LP commitments

0 LPs, 0 disclosed commitments
No LP commitment collected yet. An LP edge needs a public disclosure with a quote, such as a pension plan’s report or an announcement naming the LP.

Events

2 most recent
  1. Sep 1, 2026
    Adviser CRD 816 is not on the SEC registered or exempt adviser roster of 2026-09-01
    Adviser off rosterInferenceForm ADV
  2. Mar 30, 2012
    Credit Suisse Securities (USA) LLC first filed Form ADV in the extract (IA)
    First Form ADV filingFactForm ADV
Across the graphs

Credit Suisse Securities (USA) LLC is the same institution as 3 records in RIA and Wealth, Private Credit and Real Estate Funds.

RIA and Wealth1Private Credit1Real Estate Funds1

DFX found 3 relationships across 3 datasets

Which record it is in each graph, what it is called there, and how the two were matched.

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

Checking your plan…

Record history

2 dated events on the change ledger, latest event first
  • Adviser off roster
    2026-09-01source on record
  • Adviser first ADV filing
    2012-03-30source on record

The ledger records every merge, rename and reclassification this record went through and the dated filings observed on it, so the identity on this page can be traced to the records it was built from. The ledger's own sentences name other records, so they show with the names.

Not yet on record: investments held, deals, last 12 months.