Odyssey Capital Management, LLC
Micro VC, reporting $7.7M of fund assets across 3 funds.
Composed from this organization's classification, location and filed figures.
2 additional team members, 3 additional co-investors and affiliates, 13 additional investments, funds and LPs, 10 events, 1 verified contact (1 firm phone)
Every relationship, signal and contact on this record, with the source on each.
Includes 3 days of DFX Intelligence. Then $199/month unless canceled.
What matters now
- 1 companynew in 12 months
1 new company in the last 12 months. Latest round Flow Engineering Series B ($50M round) on 30 Sep 2026.
A firm writing cheques this quarter is one a founder can pitch now.
People to know
View all people- MemberWhy: Named with investment responsibilityNo route on file yet
- MemberWhy: Named with investment responsibilityNo route on file yet
- Managing Member Of Odyssey Capital Management, LlcWhy: Named with investment responsibilityNo route on file yet
Relationship network
24 connected entities1 observed roundrounds 2026
From financing rounds and every investor named in them, Form ADV and Form D filings, the firm's funds and team, and disclosed LP commitments in the venture capital graph. A round's amount is the size of the round, not money that moved between two investors.
Some relationships on this record are counted rather than named here. They open with the full profile.
Click any name or line for the rounds and sources behind it. Line weight is rounds together; dashed lines are inferred.
- Sponsor
- Company
- Capital provider
- Fund or vehicle
- Person
›How strength and recency are read
Co-investors are read from the rounds: three or more shared rounds is a strong observed relationship, two a repeat co-investor, one a single round. Funds and people 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.
How am I connected?
Name your firm, a company or a person, and DFX finds the published routes to Odyssey Capital Management, LLC: a shared portfolio company or board, a prior employer, a co-investor, a shared LP or service provider. Every step is a filed or published record with its source; none is a guess about who knows whom.
See how you connect to Odyssey Capital Management, LLC
Includes 3 days of DFX Intelligence. Then $199/month unless canceled.
Investing
1 company on record, 1 new in 12 months
Investments on record
What these amounts mean“This investor” is the amount disclosed for this investor alone; it is unknown unless a source said it. The round size is the whole round.Acquired, Public, Exited and Active are what the firm’s own portfolio card says, read on the date shown when you hover the chip; they are not deal dates. A company with no chip is one whose card states no outcome: DFX does not assume it is active.| Company | Round | Role | Partner | Round size | This investor | Date | Source |
|---|---|---|---|---|---|---|---|
| Flow Engineering | Series B · Series B | participant | unknown | $50.0M | unknown | Sep 30, 2026 | Fact Press release |
Stated thesis versus observed behaviour
- Sectors
- not stated or not yet read
- Stages
- not stated or not yet read
- Geography
- not stated
- Check size
- not stated; DFX does not estimate checks from round sizes
Team
5 current, 0 departed
Decision makers
- Nicholas Donatiello · Managing Member Of Odyssey Capital Management, LlcWhy this person: Named with investment responsibility
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.
Investment team
How the team is orderedPartners who lead rounds first (rounds led, then deals attributed, then seniority), then the rest of the investment team, then investor relations, finance and operations. A person named by two sources under two spellings is shown once.- Managing Member Of Odyssey Capital Management, Llc
- Member
- Member
Contacts
1 firm phone on record, each with its source. Values open with the complete profile.
Funds and LPs
6 vehicles, 2 LPs disclosed
Funds and vehicles
What these amounts meanGAV is the gross asset value the adviser reported on Form ADV for the vehicle, never the fund’s committed size and never dry powder. Form D sold is the amount sold as of the latest filing, never a final close.| Vehicle | Type | Vintage | Lifecycle | Reported GAV | Owners | Form D sold | Latest Form D |
|---|---|---|---|---|---|---|---|
| Odyssey Investment Partners Fund VI | Fund | 2020 lp reported | Mature | unknown | unknown | unknown | unknown |
| Odyssey Investment Partners Fund V LP | Fund | 2014 lp reported | Harvest | unknown | unknown | unknown | unknown |
| Odyssey Investment Partners Fund IV LP | Fund | 2009 lp reported | Harvest | unknown | unknown | unknown | unknown |
Limited partners
- 1 commitment to 1 fund · $150M disclosed
- 2 commitments to 2 funds · $90.0M disclosed
Known LPs and allocators
What these amounts and dates areEach commitment is counted once across the pension tape and the allocator graph. A commitment date prints only when the source printed one; otherwise the row carries the report date. A foundation’s 990-PF line is a holding at fair value, never a commitment. Rows without a fund on the venture graph are commitments to this manager.| Allocator | Type | Fund | Amount | Date | Source |
|---|---|---|---|---|---|
| Oregon Public Employees Retirement Fund | PUBLIC INSTITUTIONAL POOL | Odyssey Investment Partners Fund VI | $150M committed | reported as of Mar 31, 2026 | Fact Pension disclosure |
| Alaska Permanent Fund Corporation | SOVEREIGN LINKED US ALLOCATOR | Odyssey Investment Partners Fund VI | $50.0M committed | reported as of Dec 31, 2025 | Fact Pension disclosure |
| Alaska Permanent Fund Corporation | SOVEREIGN LINKED US ALLOCATOR | Odyssey Investment Partners Fund V LP | $50.0M committed | reported as of Dec 31, 2025 | Fact Pension disclosure |
Relationships across DFX
6 co-investors · on 1 other DFX graph
Co-investors
- 2026-09-301 shared deal · one time
- 2026-09-301 shared deal · one time
- 2026-09-301 shared deal · one time
Across DFX and the capital chainon 1 other DFX graph · 9 capital paths ShowHide
- The same institution is held on Allocators, matched by identifier. See which records
Odyssey Capital Management, LLC is the same institution as 1 record in Allocators.
The joined record opens with the product, beside every other relationship on this page.
Checking your plan…
Odyssey Capital Management, LLC sits on 9 traced paths of capital across the graphs.
DFX traced 9 paths of capital through this record
Every record on each path, what it committed or lent, and as of when.
Includes 3 days of DFX Intelligence. Then $199/month unless canceled.
Derived from allocator disclosures, BDC schedules and SEC filings; confidence is the weakest hop.
Checking your plan…
Evidence and history
15 dated events, 23 observations from 2 sources
Timeline
- Mar 22, 2017Odyssey Capital/zinio, LLC no longer reported on Form ADV by Odyssey Capital Management, LLC
- Mar 22, 2017Odyssey Capital, LLC no longer reported on Form ADV by Odyssey Capital Management, LLC
- Mar 22, 2017Odyssey Capital/zinio II, LLC no longer reported on Form ADV by Odyssey Capital Management, LLC
- Dec 1, 2016Patricia M Johnson joined Schedule A of Odyssey Capital Management, LLC as Member
- Dec 1, 2016Lincoln H Missner joined Schedule A of Odyssey Capital Management, LLC as Member
Identity and regulatory footprint
Address, phone, Form ADV filing and ownersForm ADV filed Mar 26, 2019 · 3 private fundsShowHide
- Headquarters
- unknown
- Office address
- unknown
- Business phone
- unknownadviserinfo.sec.gov
- Website
- ODYSSEYLP.COM
- SEC adviser type
- Exempt reporting adviseradviserinfo.sec.gov
- SEC exemption claimed
- Venture capital fund adviseradviserinfo.sec.govItem 2.B(1): advises solely venture capital funds
- Latest Form ADV
- Mar 26, 2019
- Private funds reported
- 3 (3 venture capital funds)adviserinfo.sec.gov
- Private fund gross assets, adviser total
- $7.7Madviserinfo.sec.govreported GAV of the funds, the adviser's own number; not fund size, not dry powder
- Owners on Schedule A
- Pamela T. Frazier Trust (Member), owns 50% to 75%
Classification history
Classification history
Every classification this record has carried2 on recordShowHide
- Sep 13, 2026Micro VC (confirmed, 95%)Venture manager, reported GAV $7.7M across 6 vehicles
- Sep 12, 2026Micro VC (confirmed, 95%)Venture manager, reported GAV $7.7M across 3 vehicles
Evidence
Every observation behind this profile, with its source, date and class
| Fact | Value | Effective | Class | Source |
|---|---|---|---|---|
| SEC exemption claimed | Venture capital fund adviser | Mar 26, 2019 | Fact | Form ADV |
| SEC adviser type | Exempt reporting adviser | Mar 26, 2019 | Fact | Form ADV |
| First Form ADV filing | 2012-03-30 | Mar 26, 2019 | Fact | Form ADV |
| Adv history loaded | adv-hist-1 | Sep 12, 2026 | Fact | Form ADV |
| Latest Form ADV filing | 2019-03-26 | Mar 26, 2019 | Fact | Form ADV |
| Venture share of reported funds | 1 | Mar 26, 2019 | Fact | Form ADV |
| Business phone | Mar 26, 2019 | Fact | Form ADV | |
| Legal form | Limited Liability Company | Mar 26, 2019 | Fact | Form ADV |
| Private funds reported | 3 | Mar 26, 2019 | Fact | Form ADV |
| Private fund gross assets (reported) | $7.7M | Mar 26, 2019 | Fact | Form ADV |
| Venture funds reported | 3 | Mar 26, 2019 | Fact | Form ADV |
| Website | Mar 26, 2019 | Fact | Form ADV | |
| Website status | unreachable “home page did not answer with HTML” | Sep 16, 2026 | Fact | |
| Website status | unreachable “home page did not answer with HTML” | Sep 15, 2026 | Fact |
How this is scored
Scores, classification basis and filing advisersMicro VC, confirmedShowHide
Venture manager, reported GAV $7.7M across 6 vehicles
- importance
- gav: 0 · funds: 0.83 · people: 0.2 · investments: 0 · co investors: 0.31
- active deployment
- investments 12m: 0.13 · fund raising 18m: 0 · people joined 12m: 0 · vintage within 3y: 0 · latest investment at: 2026-09-30
- emerging manager
- fund count: 10 · reported gav: $7.7M · first adv filing: 2012-03-30 · years since first filing: 14.5
Fits, record history and connections
scored matches for this investor, every identity change, every edge
Record history
- Adviser's first ADV filing2012-03-30source 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.