The Pacific Group Limited

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The Pacific Group Limited
CRD #161424
SEC #801-74247
CIK #0001163368, 0001279926, 0001714437, 0001093728
AUM 41.8 M (2026-02-05)
Employees 6 (33% Investors, 0% Brokers)
Fees
Minimum
Phone85228101399
Address18/F Shum Tower
Sheung Wan, Hong Kong
Source [IAPD] [EDGAR] [Website]
Total AUM ($M)
180144108723602010201520212027
Fees and Compensation — Form ADV Part 2A (2/5/2026) [Brochure]
ITEM 5 – FEES AND COMPENSATION
Our fees for providing advisory services to separately managed account clients are negotiable and can
vary  depending  on the  investment objective  and  type  of  the  account.    The negotiation  of  fees  may
result in similarly situated clients paying different fees for comparable advisory services.

The  management  fees  charged  clients  for  our  advisory  services  are  generally  based  on  annual
percentage  of  the  value  of  assets  under  management,  as  determined  by  us  in  good  faith  or  by  a
client’s custodian or other administrator who performs this calculation. The specific manner in which
fees are charged by us is established  in a  client’s investment management agreement with us.  We
calculate our own fees. Under our standard investment management agreement, we will bill our fees
on a quarterly basis, in arrears.

Clients may elect to be billed directly for fees or to authorize their custodian, acting as their agent, to
pay us our fee from their accounts. Management fees are prorated for each capital contribution and
withdrawal  made  during  the  applicable  calendar  quarter  (with  the  exception  of  de  minimis
contributions  and  withdrawals).  Accounts  initiated  or  terminated  during  a  calendar  quarter  are
charged  a  prorated  fee.    Upon  termination  of  any  account,  any  earned,  unpaid  fees  are  due  and
payable.  Clients do not pay any advisory or management fees in advance.

Our  fees  are  exclusive  of  brokerage  commissions,  transaction  fees,  and  other  related  costs  and
expenses which are incurred by the client. Clients may incur certain charges imposed by custodians,
brokers and other third parties which can include fees charged by managers, custodial fees, deferred
sales charges,  odd‐lot differentials, transfer  taxes, wire  transfer and  electronic  fund fees,  and  other
fees  and  taxes  on  brokerage  accounts  and  securities  transactions.  Please  see  Item  12  below  for  a
more detailed discussion regarding our brokerage practices. Mutual funds and exchange traded funds
in which we may invest on behalf of clients also charge internal management fees.

The fees we charge the Hedge Fund are detailed in the offering documents of the Feeder Funds.
Account Minimums and Types of Clients — Form ADV Part 2A (2/5/2026) [Brochure]
ITEM 7 – TYPES OF CLIENTS
We provide advisory services to a variety of client types. Clients may include:

         Individuals,  Personal  Trusts  and  Estates  –  High  Net  Worth  private  investors  who  place
          personal assets in separately managed accounts managed by us;

         Corporations  –  Taxable  entities  organized  for  a  specific  business  purpose,  investing  cash
          reserves;

         Family Offices

We  generally  require  separately  managed  account  clients  to  have  a  minimum  account  size  of
$20,000,000  to  receive  discretionary  investment  advisory  services.  However,  we  may  consider
waiving the account minimums in our sole discretion after considering factors including the number
of  accounts  managed  for  a  client,  the  nature  of  services  rendered,  any  special  requirements  of  the
account(s) managed and the totality of the relationship between us and the client.

The  Feeder  Funds  are  subject  to  minimum  initial  and  additional  investment  minimums  as  stated  in
their respective offering materials.
Sector Form 13F Holdings Value ($B)
Nvidia Corp 4.8
Venture Global Inc 4.0
Apple Inc 3.5
Microsoft Corp 3.1
Alphabet Inc 2.4
Amazon Com Inc 2.0
Johnson & Johnson 1.4
Alphabet Inc 1.4
Facebook Inc 1.3
Astrazeneca PLC 1.3
View All
Holdings by Sector ($B)
15012090603002011201620212027
Type Form D Funds Date Sold AUM
HF The Greater Asian Hedge Fund LP 2012-02-15 74.3 M
AUM Breakdown Accounts AUM ($M)
By Client Type
(a) Individuals (other than high net worth individuals) 0 0.0
(b) Individuals (high net worth individuals) 1 41.8
(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 1 41.8
By Discretionary
Discretionary 1 41.8
Non-Discretionary 0 0.0
Total 1 41.8
By Non-United States Persons
Non-United States Persons 0.0
United States Persons 41.8
Total 1 41.8
EDGAR Form CIK 2011 - 2026
10-K [0001093728]
10-Q [0001093728]
3 [0001093728]
4 [0001093728]
8-K [0001093728]
D [0001093728]
SC 13G [0001093728]
13F-NT [0001163368]
3 [0001163368]
4 [0001163368]
SC 13D [0001163368]
SC 13G [0001163368]
13F-HR [0001279926]
Form 13D/13G Filer Form 13D/13G Subject Filed
Pacific Investment Management Co LLC Uniti Group Inc [2025-11-14]
Pacific Investment Management Co LLC Spirit Aviation Holdings Inc [2025-08-12]
Pacific Investment Management Co LLC Venture Global Inc [2025-05-13]
Pacific Investment Management Co LLC Mynaric AG [2025-02-14]
Pacific Investment Management Co LLC Mynaric AG [2024-02-13]
Pacific Investment Management Co LLC PIMCO Capital Solutions BDC Corp [2022-07-11]
Pacific Investment Management Co LLC Quantum Corp /DE/ [2022-03-28]
Pacific Investment Management Co LLC Noble Corp [2022-02-14]
Pacific Investment Management Co LLC Owlet Inc [2022-02-11]
Pacific Investment Management Co LLC Gelesis Holdings Inc [2022-02-10]
View All
Firm Profile (Form ADV)
Discretionary AUM$0.1B
Clients1
ServesInstitutional, Retail
Fund TypesHedge Fund
Form 3/4/5 Subject 2011 - 2026
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View All
Insider Transaction (Form 3/4/5) Date Action Shares Price Value ($)
Velocity Financial Inc VEL
Common Stock
2025-05-01 Option exercise 1,673,958
Velocity Financial Inc VEL
Warrant (right to buy) · derivative
2025-05-01 Option exercise 1,673,958
Quantum Corp /DE/ QMCO
Common Stock
2025-04-15 Sell 962,127 $10.25 9,861,802
Velocity Financial Inc VEL
Warrant (right to buy) · derivative
2025-03-06 Grant 1,673,958
Velocity Financial Inc VEL
Warrant (right to buy) · derivative
2025-03-06 Disposed to issuer 1,673,958
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Option exercise 18,750 $6.20 116,250
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Sell 3,783 $61.52 232,730
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Option exercise 37,536 $6.20 232,723
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Sell 6,393 $61.52 393,297
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Option exercise 63,435 $6.20 393,297
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Sell 92,970 $61.52 5,719,514
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Option exercise 114,155 $54.20 6,187,201
Quantum Corp /DE/ QMCO
Warrants (right to buy) · derivative
2025-01-03 Option exercise 114,155 $0.00
Quantum Corp /DE/ QMCO
Warrants (right to buy) · derivative
2025-01-03 Option exercise 219,970 $0.00
Quantum Corp /DE/ QMCO
Warrants (right to buy) · derivative
2025-01-03 Option exercise 63,435 $0.00
Quantum Corp /DE/ QMCO
Warrants (right to buy) · derivative
2025-01-03 Option exercise 224,059 $0.00
Quantum Corp /DE/ QMCO
Warrants (right to buy) · derivative
2025-01-03 Option exercise 18,750 $0.00
Quantum Corp /DE/ QMCO
Warrants (right to buy) · derivative
2025-01-03 Option exercise 37,536 $0.00
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Option exercise 219,970 $26.00 5,719,220
Quantum Corp /DE/ QMCO
Common Stock
2025-01-03 Sell 100,578 $61.52 6,187,559
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