Arosa Capital Management LP

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Arosa Capital Management LP
CRD #169851
SEC #801-78870
CIK #0001596053
AUM 856.6 M (2026-03-30)
Employees 12 (50% Investors, 0% Brokers)
Fees
Minimum
Phone212-218-0550
Address1674 Meridian Avenue
Miami Beach, FL 33139
Source [IAPD] [EDGAR] [Website]
Total AUM ($B)
3.02.41.81.20.60.02010201520212027
CIK Period
0001596053
Sector Form 13F Holdings Value ($M)
Quanta Services Inc 82.0
Vicor Corp 41.3
IRIS Energy Ltd 35.1
Mastec Inc 29.0
Everus Construction Group Inc 10.4
Cameco Corp 10.3
GE Vernova Inc 8.7
Babcock & Wilcox Enterprises Inc 8.4
Enphase Energy Inc 6.4
Talen Energy Corp 6.4
Nextracker Inc 6.0
First Solar Inc 6.0
Constellation Energy Corp 5.6
Williams Companies Inc 5.5
Monolithic Power Systems Inc 4.9
AXT Inc 4.8
Rogers Corp 4.7
Chesapeake Energy Corp 4.4
Ikonics Corp 4.3
Materion Corp 3.6
B Riley Principal Merger Corp II 3.6
Solaris Oilfield Infrastructure Inc 3.4
Sterling Construction Co Inc 3.3
Good Works Acquisition Corp 3.2
 
 
 
 
 
 
 
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Type Form D Funds Date Sold AUM
PE Arosa Private Credit Fund II LP [2025-03-28] 10.2 M 136.1 M
Filed 2026-01-09 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration More than one year · Revenue Decline to Disclose
PE Arosa Private Credit Fund LP [2025-03-28] 10.2 M 121.1 M
Filed 2026-01-09 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration More than one year · Revenue Decline to Disclose
VC Arosa Ventures LP [2021-03-30] 22.7 M 29.6 M
Filed 2021-01-05 (D) · Exemption 506(b), 3(c), 3(c)(1) · Remaining Indefinite · Duration One year or less · Revenue Decline to Disclose
HF Arosa Alternative Energy Fund LP [2020-03-30] 1.2 M 210.2 M
Filed 2026-01-09 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Minimum $100,000 · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
HF Arosa Midstream Fund LP [2016-08-18] 180.0 M 167.5 M
Filed 2017-06-20 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
HF Arosa Market Neutral Fund LP [2013-11-21] 151.4 M 105.9 M
Filed 2023-01-13 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
HF Arosa Multi-Strategy Fund LP [2013-11-21] 151.4 M 496.2 M
Filed 2023-01-13 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
AUM Breakdown Accounts AUM ($B)
By Client Type
(a) Individuals (other than high net worth individuals) 0 0.0
(b) Individuals (high net worth individuals) 0 0.0
(c) Banking or thrift institutions 0 0.0
(d) Investment companies 0 0.0
(e) Business development companies 0 0.0
(f) Pooled investment vehicles 14 0.9
(g) Pension and profit sharing plans 0 0.0
(h) Charitable organizations 0 0.0
(i) State or municipal government entities 0 0.0
(j) Other investment advisers 0 0.0
(k) Insurance companies 0 0.0
(l) Sovereign wealth funds and foreign official institutions 0 0.0
(m) Corporations or other businesses not listed above 0 0.0
(n) Other 0 0.0
Total 14 0.9
By Discretionary
Discretionary 14 0.9
Non-Discretionary 0 0.0
Total 14 0.9
By Non-United States Persons
Non-United States Persons 0.8
United States Persons 0.0
Total 14 0.9
Form D Directors Role # Filings # Firms 2011 - 2026
Arosa Capital Management LP Executive Officer, Promoter 7 2
Arosa Capital Management Private Credit GP LLC Executive Officer 1 1
Arosa Capital Management Market Neutral GP LP Executive Officer 1 1
Arosa Capital Management Market Neutral GP II LLC Executive Officer 1 1
Arosa Capital Management Alternative Energy Fund GP LLC Executive Officer 1 1
Arosa Ventures GP LLC Executive Officer 1 1
EDGAR Form CIK 2011 - 2026
13F-HR [0001596053]
SC 13D [0001596053]
SC 13G [0001596053]
Form 13D/13G Filer Form 13D/13G Subject Filed
Arosa Capital Management LP Envision Solar International Inc [2020-02-14]
Arosa Capital Management LP Workhorse Group Inc [2018-07-19]
Firm Profile (Form ADV)
Discretionary AUM$0.5B
ServesInstitutional
Fund TypesHedge Fund, Private Equity
LEI54930031U2W1PGGCVJ66
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