Manager / SEC investment adviser

Jpmorgan Alternative Asset Management

Jpmorgan Alternative Asset Management is listed as the manager/adviser for 14 SEC-reported hedge fund profiles in this directory. The office location in the filing data is New York, New York, United States.

14fund profiles
$17.9Bfund gross assets
$29.7Bregulatory AUM
86employees

Manager profile

What this page consolidates

This page groups every hedge fund vehicle in the generated dataset that reports Jpmorgan Alternative Asset Management as the linked manager/adviser. It combines the fund list, strategy tags, jurisdiction signals, Form ADV identifiers, service flags, and reported assets into one crawlable profile.

The largest listed fund vehicle is Omni Spc, LTD, reported at $9.6B in gross assets. The visible strategy mix includes general hedge fund, multi-strategy, emerging markets, and credit.

Terminology

Manager or adviser?

The reader-facing term is hedge fund manager. The SEC source term is investment adviser, because Form ADV and IAPD are built around adviser registrations and exempt reporting advisers. This site uses manager in navigation and keeps adviser where it describes the regulatory filing role.

Registered investment adviser is the registration category shown in the generated data. Disclosures: no.

Visual profile

Funds, strategies, and jurisdictions

Fund vehicles

Search reported hedge funds

14 rows shown

Fund Location Gross assets Minimum
Omni Spc, LTD New York, New York, United States $9.6B $50K
Uncorrelated Hedge Fund Strategies SA Sicav-Raif New York, New York, United States $2.4B $250K
Global Access Master Spc Ltd. - Hedge Fund Strategies Segregated Portfolio (balanced) New York, New York, United States $1.2B $100K
Global Access Strategies Spc Ltd. - Quantitative Hedge Fund Strategies Segregated Portfolio New York, New York, United States $1.0B $250K
Elan Fund LP New York, New York, United States $780.5M $0
Opportunistic Access Master Fund, LP New York, New York, United States $612.4M $100K
Emerging Opportunities Fund Spc, Ltd. New York, New York, United States $571.3M $100K
Strata Investments LP New York, New York, United States $559.0M $250K
Global Access Portfolios LLC - Hedge Fund Strategies I (balanced) New York, New York, United States $370.8M $250K
Select Alpha Fund, L.P. New York, New York, United States $249.6M $100K
Opportunistic Access Feeder Fund, Ltd. New York, New York, United States $220.8M $100K
475 Fund, Ltd. New York, New York, United States $160.5M $100K
Uncorrelated Hedge Fund Strategies, LP New York, New York, United States $144.5M $250K
Epp Distressed Debt Fund New York, New York, United States $14.6M $100K

Location pages

Where this manager is filed

The manager address in this dataset is New York, New York, United States. Location pages group managers by the filing address, not by where investors or portfolio holdings are located.

FAQ

Research notes

Why can one manager have many fund rows?

Large firms often report master funds, feeders, parallel funds, offshore vehicles, and strategy sleeves separately in Form ADV private-fund data.

Does gross asset value equal performance?

No. Gross asset value is a disclosure field. It is not a return, rating, net asset value, or investment recommendation.

Which jurisdictions appear in this profile?

The largest sampled jurisdictions include Cayman Islands, Luxembourg, and Delaware, United States.