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First light asset management performance.
First light asset management is a hedge fund with 920 clients and discretionary assets under management aum of 746 651 297 form adv from 2020 06 29.
We invest in companies across the entire market cap spectrum and most health care industries including medical devices and equipment diagnostic tools health care information technology biotech health care services and.
The content of this website is for informational purposes only and should not be construed as an offer or any form of solicitation or investment or financial advice.
The manager s has disclosed holdings from 12 31 13 to 06 30 20.
This is a top down function of setting a performance specification for each major operating unit identifying the critical components of performance and systematically improving the key controllable variables of operation.
First light asset management llc is a hedge fund that manages 198 5 mm dollars in regulatory aum and has 7 employees of which 3 perform investment advisory functions.
Centers for medicare and medicaid services.
The fund s latest filing disclosed 858mm in positions representing 432 of the manager s regulatory aum.
We started first light property management because we were unimpressed with the companies who were handling our own properties.
There were no better management options so we created one.
Our team take an ethically aware quality driven approach to investing dedicated to deep fundamental research of both the.
Top 10 stocks held by first light asset management llc by holdings channel staff updated saturday september 12 3 10 pm.
First ascent asset management 1512 larimer street suite 1050 denver co 80202 720 465 7888.
We are focused on contributing to superior investment outcomes for our clients through exceptional performance.
Strategic asset management involves managing the capital investment towards a long term program of increasing the roa.
We are committed to serving the greater los angeles area.
Their last reported 13f filing for q2 2020 included 858 208 000 in managed 13f securities and a top 10 holdings concentration of 51 45.