Maverick Capital Ltd

-

Assets, Funds, Holdings

Home | Sign Up | Log In
New Features
Latest Fund Raises
Related People
Fund Service Providers
Startup & Company Raises
List of Funds
Boston Firms
Boston Hedge Funds
Cornell Alumni Firms
CalPERS Portfolio
NYSCRF Portfolio
User Guide
Regulatory AUM vs AUM
LP Portfolios
Related Firms
Build a Portfolio
Comprehensive Search
Keyboard
Maverick Capital Ltd
CRD #108262
SEC #801-47310
CIK #0001286655, 0000934639
AUM 15.85 B (2026-03-31)
Employees 98 (34% Investors, 0% Brokers)
Fees
Minimum
Phone214-880-4000
Address1900 N Pearl Street
Dallas, TX 75201
Source [IAPD] [EDGAR] [Website] [LinkedIn]
Total AUM ($B)
2016128401999200820172027
In the News
Tue, 28 Jul 2026 Maverick Capital Ltd. Acquires 36,899 Shares of Altria Group, Inc. $MO — MarketBeat
Tue, 28 Jul 2026 Maverick Capital Ltd. Invests $18.64 Million in Marvell Technology, Inc. $MRVL — MarketBeat
Thu, 18 Jun 2026 Maverick Capital Co-CIOs on Finding the AI Winners — Goldman Sachs
Tue, 02 Jun 2026 Infleqtion: Maverick Capital director entities sell $47.6m shares — Investing.com
Tue, 26 May 2026 Maverick Capital funds sell $186m of Infleqtion (INFQ) stock — Investing.com
Fees and Compensation — Form ADV Part 2A (3/31/2026) [Brochure]
Item 5 – Fees and Compensation

Performance Allocations, Management Fees, Expenses and Other Charges

        Maverick’s current fee structures for applicable Fund Clients are summarized below.

        ●   Each Fund Client is charged monthly or quarterly management fees, at the beginning
            of each accounting period, based on that portion of its net asset value (or such other
            reference amount specified in the offering documents of the applicable fund)
            attributable to management fee bearing investors. An allocable portion of the
            management fee is automatically deducted from each relevant investor’s account at the
            beginning of the relevant accounting period.
        ●   Other than as noted below, investors in the Maverick Funds are generally subject to a
            performance allocation calculated on investment performance or, in the case of
            Maverick Long, Maverick Long Enhanced and Maverick HP, calculated on the excess
            of performance over a hurdle rate as further described in each applicable fund’s
            respective offering documents. Performance allocations, if applicable to an investor’s
            investment, are charged and automatically deducted from an investor’s account at the
            end of each fiscal year and on any interim withdrawal of capital by, or other distribution
            of funds to, an investor. As further described in each applicable Fund Client’s
            respective offering documents, the Maverick Funds other than Maverick Long,
            Maverick Long Enhanced and Maverick HP, are generally subject to a reduced
            performance allocation until an amount in excess of any loss incurred in a prior fiscal
            year has been recouped. With respect to all other applicable funds, such amounts are
            credited to the account of a Maverick affiliate, Maverick Capital Advisors, L.P., may
            be withdrawn from the fund at its request and are generally withdrawn annually or
            reinvested. Maverick Growth investors are generally subject to a 20% carried interest
            allocation after an 8% annualized preferred return. Maverick Ventures funds investors
            are subject to a 15% to 20% carried interest. Maverick Silicon investors are subject to
            a 20% carried interest.
        •   Maverick has the discretion to waive payment of any management fee or performance
            allocation/fee and have done so for employees of Maverick and its affiliates who have
            invested directly or indirectly in the Fund Clients, as well as for certain other investors.

Investors in any fund that Maverick may advise in the future may bear different fees than those
described herein. Investors who purchased previously offered interests in the Maverick Funds may
be subject to (i) lower (or higher) management fees and/or performance fees/allocations; and (ii)
performance fees/allocations that are calculated differently in relation to the recoupment of losses
incurred in prior fiscal years.

        The management fee and performance allocation/fee rates applicable to the interests
currently offered by the Maverick Funds, the Maverick Silicon Fund and the Maverick Venture
Funds are provided below. Interests in the Maverick Quantitative Fund, Maverick Stable Funds,
Maverick Seed Fund and Maverick Growth are not currently offered.

    Maverick Hedged Equity Funds and Maverick Levered

        Commitment Period                    Management Fee              Performance Allocation

            One Year                                  1.50                         20.0

             Three Years                                1.25                          15.0
             Five Years                                 1.00                          10.0

    Fees for Maverick Levered are charged on gross equity (i.e., including the value of borrowings made
    pursuant to the fund’s leverage feature, as described in the fund’s private offering memorandum).

    Maverick Long

        Interests or shares in Maverick Long are subject to the following management fee rates if
the investor elects not to pay a performance allocation:

        Commitment Period                     Management Fee
           Monthly                                 1.75%
           Three Years                             1.50
           Five Years                              1.25

       Interests or shares in Maverick Long are subject to the following management fee and
performance allocation rates if the investor elects to pay a performance allocation:

        Commitment Period                      Management Fee            Outperformance Allocation*
           Monthly                                  0.50%                          25.0%
           Three Years                              0.50                           20.0
           Five Years                               0.50                           15.0

    * The Maverick Long Outperformance Allocation is charged on the difference between the performance
    of Maverick Long (after management fees) and the MSCI World Daily Total Return Index. See the related
    private offering memoranda for additional detail.

    Maverick Long Enhanced & Maverick HP

        Commitment Period                      Management Fee            Outperformance Allocation*
           Monthly                                **                               15.0%
           One Year                                1.00%                           20.0%
           Three Years                             1.00                            15.0
           Five Years                              1.00                            10.0

* The Maverick Long Enhanced Outperformance Allocation is charged on the difference between the
performance of Maverick Long Enhanced (after management fees) and the MSCI World Daily Total Return
...
Account Minimums and Types of Clients — Form ADV Part 2A (3/31/2026) [Brochure]
Item 7 – Types of Clients

         Maverick provides advisory services to hedge funds, funds of funds, funds making venture
capital investments, funds making private equity investments and a related co-investment vehicle,
other pooled investment vehicles and institutional investors. From time to time, an investor will
request a Separate Account Client in lieu of investing in a Fund Client. Maverick manages Separate
Account Clients on a case-by-case basis taking into consideration factors including the minimum
amount of assets to be managed, the complexity of the proposed account and other investment
requirements or restrictions. As described elsewhere herein, the Maverick Funds and the Maverick
Quantitative Fund generally invest in publicly-traded equity securities; prior to 2021, Maverick
USA, Maverick Fund and Maverick Levered also made investments in certain credit instruments
and non-publicly traded equity securities however since July of 2021 the Maverick Funds (except
for Maverick HP, L.P.) have made private investments through Maverick Designated Investment
Fund, L.P. (“MDI”); the Maverick Silicon Funds generally make investments in private
semiconductor growth companies and related opportunities alongside MDI and Maverick HP, L.P.;
the Maverick Venture Funds generally make venture capital investments; Maverick Seed generally
invests in, and alongside, emerging hedge fund managers; and Maverick manages separate accounts
from time to time for institutional investors employing strategies similar to those of the Maverick
Funds.
Sector Form 13F Holdings Value ($B)
Nvidia Corp 0.6
Amazon Com Inc 0.5
Taiwan Semiconductor Manufacturing Co Ltd 0.4
ASML Holding NV 0.3
Boston Scientific Corp 0.3
Nu Holdings Ltd 0.3
Applied Materials Inc /DE 0.3
Microsoft Corp 0.3
United Technologies Corp /DE/ 0.3
Argan Inc 0.3
View All
Holdings by Sector ($B)
151296302011201620212027
Type Form D Funds Date Sold AUM
PE Maverick Silicon Fund Co-Invest I LP 2026-02-23 300.6 M
PE Maverick Silicon Fund LP [2024-11-08] 812.7 M 1,074.0 M
Filed 2026-02-13 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Minimum $5,000,000 · Remaining Indefinite · Duration One year or less · Commission $1,837,500 · Net Assets Decline to Disclose
VC Maverick Ventures Cycle 4 Serial Fund LP [2024-07-19] 102.9 M 171.4 M
Offered $102,939,698 · Filed 2025-01-08 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Duration One year or less · Revenue Not Applicable
HF Maverick Co-Invest II LP [2023-07-14] 105.1 M 101.9 M
Filed 2023-06-16 (D) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration One year or less · Net Assets Decline to Disclose
HF Maverick HP LP [2023-07-14] 616.2 M 2,322.2 M
Filed 2025-06-12 (D/A) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
HF Maverick SDT Fund LP 2022-03-31 740.6 M
PE Maverick Co-Invest I LP [2022-02-28] 2.8 M 1.6 M
Offered $2,750,000 · Filed 2022-03-18 (D) · Exemption 506(b), 3(c), 3(c)(7) · Duration One year or less · Net Assets Decline to Disclose
PE Maverick Growth Fund LP [2021-11-22] 157.3 M
Filed 2021-07-15 (D) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
HF Maverick QM Neutral Fund Ltd 2021-05-28 143.5 M
Other Maverick Ventures Liquidity Fund I LP 2021-05-28 0.0 M
View All
AUM Breakdown Accounts AUM ($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 18 15.7
(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 1 0.2
(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 19 15.8
By Discretionary
Discretionary 19 15.8
Non-Discretionary 0 0.0
Total 19 15.8
By Non-United States Persons
Non-United States Persons 7.1
United States Persons 8.7
Total 19 15.8
Limited Partners2011 - 2026
Missouri Public School Retirement System
Virginia Retirement System
Form D Directors Role # Filings # Firms 2011 - 2026
Sophia Dilbert Director 109 44
Karla Bodden Director 186 22
Sam Ellis Director 106 18
Jeffrey Jacob Executive Officer 33 4
John Hunter Director 21 3
David Singer Executive Officer 36 2
Lee Ainslie III Executive Officer 27 2
Maverick Capital Advisors LP Executive Officer, Promoter 24 2
Maverick Capital Management LLC Executive Officer 22 2
Trevor Wiessmann Executive Officer 19 2
View All
EDGAR Form CIK 2011 - 2026
13F-HR [0000934639]
3 [0000934639]
4 [0000934639]
SC 13D [0000934639]
SC 13G [0000934639]
3 [0001286655]
4 [0001286655]
SC 13D [0001286655]
SC 13G [0001286655]
Form 13D/13G Filer Form 13D/13G Subject Filed
Maverick Capital Ltd Churchill Capital Corp X/Cayman [2026-02-18]
Maverick Capital Ltd Rocket Pharmaceuticals Inc [2025-04-14]
Maverick Capital Ltd Fractyl Health Inc [2024-11-14]
Maverick Capital Ltd Verona Pharma PLC [2024-11-14]
Maverick Capital Ltd Invivyd Inc [2024-02-14]
Maverick Capital Ltd Global Technology Acquisition Corp I [2023-05-23]
Maverick Capital Ltd Coupang Inc [2022-06-29]
Maverick Capital Ltd Curis Inc [2022-02-14]
Maverick Capital Ltd Orion Acquisition Corp [2022-02-14]
Maverick Capital Ltd Global Technology Acquisition Corp I [2022-02-14]
Maverick Capital Ltd Panacea Acquisition Corp II [2022-02-14]
Maverick Capital Ltd Dragoneer Growth Opportunities Corp III [2022-02-14]
Maverick Capital Ltd Wave Life Sciences Ltd [2022-02-14]
Maverick Capital Ltd Population Health Investment Co Inc [2021-02-16]
Maverick Capital Ltd JAWS Spitfire Acquisition Corp [2021-02-16]
Maverick Capital Ltd Ajax I [2021-02-16]
Maverick Capital Ltd GameStop Corp [2021-02-16]
Maverick Capital Management LLC Seer Inc [2021-01-11]
Maverick Capital Management LLC Seer Inc [2021-01-04]
Maverick Capital Ltd Atara Biotherapeutics Inc [2020-02-14]
Maverick Capital Ltd Commscope Holding Company Inc [2019-02-14]
Maverick Capital Ltd Impax Laboratories Inc [2018-02-12]
Maverick Capital Ltd Envision Healthcare Corp [2018-02-12]
Maverick Capital Ltd Aramark [2017-02-15]
Maverick Capital Ltd Sabre Corp [2017-02-14]
Maverick Capital Ltd Universal Health Services Inc [2017-02-14]
Maverick Capital Ltd Commscope Holding Company Inc [2016-02-16]
Maverick Capital Ltd Arris Group Inc [2016-02-16]
Maverick Capital Ltd Aramark Corp [2016-02-16]
Maverick Capital Ltd Yelp Inc [2016-02-16]
Maverick Capital Ltd Zulily Inc [2015-02-17]
Maverick Capital Ltd Castlight Health Inc [2014-04-10]
Maverick Capital Ltd Fortinet Inc [2014-02-14]
Maverick Capital Ltd Community Health Systems Inc [2014-02-14]
Maverick Capital Ltd SolarWinds Inc [2014-02-14]
Maverick Capital Ltd QLIK Technologies Inc [2014-02-14]
Maverick Capital Ltd Radian Group Inc [2014-02-14]
Maverick Capital Ltd Palo Alto Networks Inc [2014-02-14]
Maverick Capital Ltd Liquidity Services Inc [2013-02-14]
Maverick Capital Ltd Urban Outfitters Inc [2012-02-14]
Maverick Capital Ltd Aeropostale Inc [2012-02-14]
Maverick Capital Ltd Trina Solar Ltd [2012-02-14]
Firm Profile (Form ADV)
Discretionary AUM$14.7B
ServesInstitutional
Fund TypesHedge Fund, Private Equity
LEIH8IL47RD6E7GDGW3GE61
Form 3/4/5 Subject 2011 - 2026
Maverick Capital Ltd
Churchill Capital Corp X/Cayman
Maverick Capital Management LLC
Ainslie Lee S III
Global Technology Acquisition Corp I
Maverick Fund USA Ltd
Maverick Fund II Ltd
Maverick Long Enhanced Fund Ltd
Maverick Long Fund Ltd
Warford Andrew Held
View All
Insider Transaction (Form 3/4/5) Date Action Shares Price Value ($)
Castlight Health Inc CSLT
Class B common stock
2018-06-20 Grant 32,183 $0.00
Castlight Health Inc CSLT
Class A Common Stock · derivative
2017-07-12 Conversion 517,358 $0.00
Castlight Health Inc CSLT
Class B Common Stock
2017-07-12 Conversion 517,358 $0.00
Castlight Health Inc CSLT
Class B Common Stock
2017-06-22 Grant 33,735 $0.00
Castlight Health Inc CSLT
Class B Common Stock
2016-06-22 Grant 31,250 $0.00
Castlight Health Inc CSLT
Class B Common Stock
2015-06-17 Grant 12,500 $0.00
Castlight Health Inc CSLT
Class B Common Stock
2014-08-29 Buy 304,393 $11.83 3,600,969
Castlight Health Inc CSLT
Class B Common Stock
2014-08-28 Buy 249,886 $11.42 2,853,698
Castlight Health Inc CSLT
Class B Common Stock
2014-08-27 Buy 140,045 $11.03 1,544,696
Castlight Health Inc CSLT
Class B Common Stock
2014-03-19 Buy 450,000 $16.00 7,200,000
Bluefly Inc BFLY
Common Stock
2013-05-23 Sell 3,704,101 $0.01 37,041
Comparable Firms State AUM
Kohlberg & Co LLC
NY 17.15 B
Darsana Capital Partners LP
NY 16.67 B
3G Capital Partners LP
NY 16.31 B
Invus Financial Advisors LLC
NY 16.21 B
50 South Capital Advisors LLC
IL 16.07 B
Blackstone Strategic Capital Advisors LLC
NY 15.57 B
AEA QP Advisers LLC
NY 15.46 B
Blackstone Ireland Limited
15.19 B
Abry Partners II LLC
MA 14.90 B
Napier Park Global Capital US LP
NY 14.57 B
Terms | Privacy | Providers | Companies | Guide
tony@aum13f.com