Plainview Investment Management LP

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Assets, Funds, Holdings

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Plainview Investment Management LP
CRD #334349
SEC #802-132885
CIK #0002047482
AUM
Employees
Fees
Minimum
Phone214-225-0219
Address100 Crescent Court
Dallas, TX 75201
Source [IAPD] [EDGAR] [Website] [LinkedIn]
Total AUM ($)
1.00.80.60.40.20.02010201520212027
Type Form D Funds Date Sold AUM
HF Plainview Securities Fund LP -- Plainview Total Return Fund [2026-03-19] 0.1 M 0.4 M
Filed 2026-01-15 (D) · Exemption 506(c) · Minimum $10,000 · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
Other Plainview Securities Fund LP [2025-04-29]
Filed 2025-01-27 (D) · Exemption 506(b), 3(c), 3(c)(7) · Remaining Indefinite · Duration One year or less · Revenue Decline to Disclose
HF Plainview Securities Fund LP - Plainview Emerging Growth Fund [2025-04-29] 0.3 M
Filed 2025-01-28 (D) · Exemption 506(c) · Minimum $10,000 · Remaining Indefinite · Duration More than one year · Net Assets Decline to Disclose
AUM Breakdown Accounts AUM ($)
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 0 0.0
(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 0 0.0
By Discretionary
Discretionary 0 0.0
Non-Discretionary 0 0.0
Total 0 0.0
By Non-United States Persons
Non-United States Persons 0.0
United States Persons 0.0
Total 0 0.0
Form D Directors Role # Filings # Firms 2011 - 2026
Plainview Management LP NA Promoter 3 2
Plainview Investment Management LP NA Promoter 3 2
EDGAR Form CIK 2011 - 2026
D [0002047482]
Firm Profile (Form ADV)
Fund TypesHedge Fund
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