MARLOWE PARTNERS LP Overview
Marlowe Partners Lp is an investment advisor that manages 217.4 MM dollars in regulatory AUM and has 8 employees, of which 5 perform investment advisory functions.
The manager's has disclosed holdings from 12/31/14 to 09/30/20. The fund's latest filing disclosed 172MM in positions, representing 79% of the manager's regulatory AUM.
The manager's has disclosed holdings from 12/31/14 to 09/30/20. The fund's latest filing disclosed 172MM in positions, representing 79% of the manager's regulatory AUM.
MARLOWE PARTNERS LP StockAlpha
Top 25% |
3yr StockAlpha
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Fundamental & Technical Factor Exposure
MARLOWE PARTNERS LP Since Last Filing Return Details
Ticker | Size | Sector | Stock Move | StockAlpha Attribution | Days to Liquidate | Trade Crowdedness | ||
---|---|---|---|---|---|---|---|---|
HDS | 16.73% | Industrials | 35.77% | 3.5% | 0 | 7% | ||
ADSK | 15.21% | Tech | 29.51% | 2.23% | 0 | 13% | ||
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MARLOWE PARTNERS LP Founders and Key Employees
Name | Title | In Position Since |
---|
Eric Udoff | Principal | February-2013 |
David Steinberg | Principal | February-2013 |
William J. Vernon | Chief Compliance Officer And Chief Operating Officer | February-2013 |
MARLOWE PARTNERS LP Brokers, Custodians, Auditors and Administrators
Type | Company |
---|
Administrator | Pro |
Auditor | Pro |
Custodian | Pro |
Prime Broker | Pro |
Prime Broker | Pro |
MARLOWE PARTNERS LP Investment Strategy
Methods of Analysis, Investment Strategies and Risk of Loss
Item 8.A
Marlowe manages a concentrated portfolio of credit and equity investments that are selected based on bottom-up fundamental analysis. The portfolio will typically contain approximately 20 to 30 investments, with the largest five investments typically comprising 30-60% of the overall portfolio. In general, Marlowe seeks to be long biased. The Fund may also invest in rights offerings, derivatives, trust units, CDS, swaps and similar complex securities.
Marlowe’s research process attempts to determine the value of the company using both qualitative and quantitative methods.
Qualitative aspects of our research may involve the study of company and industry fundamentals, historical company and industry trends, the strength of a business’s competitive advantage, industry competition, business strategy, quality of disclosure, corporate governance, management i...
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Item 8.A
Marlowe manages a concentrated portfolio of credit and equity investments that are selected based on bottom-up fundamental analysis. The portfolio will typically contain approximately 20 to 30 investments, with the largest five investments typically comprising 30-60% of the overall portfolio. In general, Marlowe seeks to be long biased. The Fund may also invest in rights offerings, derivatives, trust units, CDS, swaps and similar complex securities.
Marlowe’s research process attempts to determine the value of the company using both qualitative and quantitative methods.
Qualitative aspects of our research may involve the study of company and industry fundamentals, historical company and industry trends, the strength of a business’s competitive advantage, industry competition, business strategy, quality of disclosure, corporate governance, management i...
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MARLOWE PARTNERS LP Portfolio Concentration
MARLOWE PARTNERS LP Location
660 MADISON AVENUE
18TH FLOOR
NEW YORK, New York
UNITED STATES, 10065
18TH FLOOR
NEW YORK, New York
UNITED STATES, 10065
MARLOWE PARTNERS LP Contact Information
Phone Number: 212-409-1100
Fax Number: 212-409-1101
Website: null
Fax Number: 212-409-1101
Website: null
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