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American Capital, both directly and through its global asset management business, originates, underwrites and manages investments in middle market private equity, leveraged finance, real estate, energy & infrastructure and structured products. American Capital manages $21 billion of assets, including assets on its balance sheet and fee earning assets under management by affiliated managers, with $80 billion of total assets under management (including levered assets). American Capital and its affiliates invest from $10 million to $750 million per company in North America and €10 million to €400 million per company in Europe. As a publicly traded company, American Capital offers shareholders an opportunity to invest in privately held middle market companies through ownership of its stock. Since its August 1997 IPO, American Capital and the funds it manages have invested approximately $37 billion in over 730 portfolio companies. Our diverse portfolio is invested in virtually every industry sector. We have approximately 90 investment professionals in 8 offices in the United States, Europe and Asia. American Capital, through an asset management portfolio company, manages three public companies American Capital Agency Corp. (Nasdaq: AGNC),American Capital Mortgage Investment Corp. (Nasdaq: MTGE) and American Capital Senior Floating, Ltd. (Nasdaq: ACSF) with approximately $11 billion of total net book value.
Bassini Playfair Advisors is a New York, NY-based company in the Financial Services sector.
CDM Investment Group is a Omaha, NE-based company in the Financial Services sector.
Culver Capital Group is a Costa Mesa, CA-based company in the Financial Services sector.
Stafford Capital Partners ("Stafford") is an independent private markets investment and advisory firm with USD 7.9bn in assets under management and advice for more than 150 institutional clients worldwide. Founded in 2000, it has a global team of 80+ professionals investing in timberland & agriculture, infrastructure, and sustainable private equity and private credit through secondaries, primaries and co-investments. Stafford has been a UN PRI signatory since 2010 and has committed to the Net Zero Asset Managers initiative. It puts sustainability at the centre of its investment process and implements a well-defined ESG program across all strategies.