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Firms / D••••••• C•••••• P••••••• L•

D••••••• C•••••• P••••••• L•

Hybrid manager · probableLower middle marketNew York, NYd•••••••••.comSEC registered investment adviser

D••••••• Capital Partners is an alternative asset manager focused on global credit markets.

Classification
Class
Hybrid managerprobable, confidence 65%
Basis
R4: Private Equity Funds are 2 of 22 distinct vehicles; hedge, securitized or liquidity vehicles 20
Size band
Lower middle marketdefined by: proxy: $0.51bn Private Equity Fund GAV on the Form ADV filed 2024-10-31
Classification history (1)
  1. Sep 13, 2026
    Hybrid manager (probable, 65%, cls-pe-1)
    R4: Private Equity Funds are 2 of 22 distinct vehicles; hedge, securitized or liquidity vehicles 20
Regulatory footprint (Form ADV)
Adviser type
registered investment adviser
Form ADV filings
Jul 19, 2017 to Oct 31, 2024
RAUM
$18Bregulatory assets under management of the adviser; not dry powder, not a fund size
PE funds, latest filing
2
PE fund GAV, latest filing
$515Mreported gross assets (Form ADV), not fund size
All private fund GAV
$19Bevery private fund type, latest filing
2024 PE fund GAV
$515Msum over funds typed Private Equity Fund with a 2024 or later as-of date
PE share of funds, lifetime
9%
Fund type mix
filed 2024-10-31, latest gav Hedge Fund $14B, Private Equity Fund $515M, Securitized Asset Fund $5.1B, latest counts Hedge Fund 6, Private Equity Fund 2, Securitized Asset Fund 12, lifetime distinct Hedge Fund 8, Private Equity Fund 2, Securitized Asset Fund 12
Employees
94
Headquarters
New York, NY
Office address
55 HUDSON YARDS, SUITE 29B, New York, NY, 10001
Business phone
212-655-1400
Stated criteria beside observed behaviour
no observed deals yet
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
Invest in attractive credit opportunities, from investment grade to distressed in public and private markets
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
2 on record
FundVehicleVintageReported gross assets (Form ADV), not fund sizeGAV by yearForm D soldLifecycle
D••• F••• I• L•
ADV: Private Equity Fund
buyout or unlabelled2024
first reported on Form ADV
$23.0M
as of Oct 31, 2024
no Form DUnknown
D•• I• L••
ADV: Private Equity Fund
buyout or unlabelled2023
first reported on Form ADV
$492M
as of Oct 31, 2024
no Form DUnknown
Team
4 current, 2 former
2 former (kept with end dates)
Portfolio
0 relationships, 0 platforms, 0 add-ons
No portfolio relationship collected for this firm yet. They arrive from the firm’s portfolio page, deal announcements and filings.
Transactions
0 on record
No transaction naming this firm has been collected yet. The deal tape is read from SEC filings and cited announcements.
Placement agents, lenders, advisers and co-investors
0 relationships
No counterparty collected yet. These are counted from transactions that name both this firm and the other party, and from placement agents on this firm’s funds.
LP commitments
0 disclosed
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. Aug 27, 2026
    D••••••• C•••••• P••••••• L•: Private Equity Funds on Form ADV 2 (2024 extract) -> 1 (roster 2026-09-01)
  2. Jul 19, 2017
    D••••••• C•••••• P••••••• L• first filed Form ADV in the extract (IA)
Across the graphs

D••••••• C•••••• P••••••• L• is the same institution as 3 records in Independent Sponsors, RIA and Wealth and Private Credit.

Independent Sponsors1RIA and Wealth1Private Credit1

Which record it is in each graph, what it is called there, and what the two were joined on. The Data Factory holds all nine graphs and the identity layer between them.

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