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Beck Mack & Oliver

Beck Mack & Oliver is a fund manager in New York with $3.75B assets under management.

Company profile

Employees
Incorporated
Location
Fiscal year end
SEC CIK
IRS number
130477010
SEC advisor number
801-482
FINRA CRD number
105466
AUM ?
$3.75B (as of 26 Mar 21)
Accounts
1,182 (as of 26 Mar 21)
Employees
20 (8 investment advisory or research)
Address
Beck Mack & Oliver
565 FIFTH AVENUE
19TH FLOOR
NEW YORK
NY 10017
Office hours
Monday - Friday, 9:00AM-5:00PM
Phone
2126612640
Owner Title From %Ownership
Beck, Robert, Childress Senior Member and Managing Member 01/1988 25-50%
Campbell, Robert, Johnson Member 01/1992 10-25%
Delano, Lyman Member 10/2005 10-25%
Ellis, John, C Managing Member 01/2013 10-25%
Capozzo, Daniel Chief Operating Officer & Chief Compliance Officer 07/2016 < 5%
Fitzgerald, Richard, Charles Member 01/2018 < 5%
Barney, Elizabeth, R Member 01/2020 < 5%
Fund structure AUM Fund type
Beck, Mack & Oliver LLC $3.75B
Beck Mack Limited Partnership $45.31M Hedge Fund
Erb Value Partners LP $31.99M Hedge Fund
Fund 01 (Tiger) $5.52K Private Equity Fund
Fund 07 (Nibmo) $2.91M Private Equity Fund
Fund 10 (JAX2) $788.55K Private Equity Fund
Fund 12 (Lanco Iii) $1.87M Real Estate Fund
Fund 13 (Robco V) $2.03M Private Equity Fund
Fund 14 (Tallco) $6.06M Other Private Fund
Fund 15 (Tephco) $2.13M Private Equity Fund
Fund 17 (Lanco Iv) $4.19M Real Estate Fund
Fund 18 (Triflow) $4.29M Private Equity Fund
Fund 19 (Lymco) $453.91K Private Equity Fund
Fund 20 (Robco Vi) $7.35M Private Equity Fund
Fund 22 (Lanco V) $2.87M Real Estate Fund
Fund 24 (Ivyco) $240.68K Private Equity Fund
Fund 25 (Robco Vii) $16.51M Private Equity Fund
Fund 26 (Bliv) $84.7K Private Equity Fund
Fund 27 (Lanco Vi) $2.61M Venture Capital Fund
Fund 28 (Robco Viii) $8.58M Private Equity Fund
Fund 29 (Lanco Vii) $1.9M Real Estate Fund
Robco IX $584.07K Private Equity Fund

Investment data

Data from SEC filings
Regulatory AUM / Assets Under Management
Number of accounts
Number of employees
Top 50 of 205 long holdings
End of quarter 30 Sep 21
Value
 
#Shares
 
Prev Q
 
Change
%, QoQ
$295.93M 2.54M 2.62M -2.7
$245.02M 869.12K 876.37K -0.8
Alphabet Inc Cap STK CL a
$237.38M 88.97K 90.42K -1.6
$194.36M 3.16M 3.14M +0.5
$188.37M 321.84K 323.3K -0.5
$162.14M 690.76K 683.05K +1.1
$138.69M 492.77K 494.13K -0.3
$108.16M 1.48M 1.47M +1.3
$104.55M 234.36K 238.52K -1.7
$96.81M 819.55K 823.37K -0.5
$91.9M 257.19K 277.65K -7.4
Ashtead Group PLC SHS
$89.04M 1.17M 1.13M +3.8
$88.71M 541.91K 548.13K -1.1
$82.61M 555.74K 529.86K +4.9
$76.16M 2.05M 2.15M -4.5
$73.99M 264.5K 266.88K -0.9
$71.73M 7.36M 4.44M +65.7
$69.63M 643.72K 653.04K -1.4
$69.45M 5.61M 5.55M +0.9
$64.06M 2.96M 2.94M +0.8
$63.99M 2.14M 2.03M +5.5
$61.54M 2.1M 2.09M +0.5
$59.88M 551.89K 525.31K +5.1
$58.31M 452.08K 464.78K -2.7
$56.62M 189.36K 192.88K -1.8
$52.98M 44.33K 44.49K -0.4
$52.5M 2.16M 2.05M +5.6
$52.19M 311.52K 310.16K +0.4
$50.4M 312.04K 310.26K +0.6
$48.8M 911.89K 933.77K -2.3
$48.09M 1.26M 1.3M -2.6
Armstrong World Inds I Com
$43.2M 452.54K 465.9K -2.9
$38.44M 196.13K 196.26K -0.1
$37.57M 185.21K 186.33K -0.6
$35.04M 406.44K 416.28K -2.4
$34.12M 98.15K 93.74K +4.7
$29.74M 17.81M 18.06M -1.4
Hilton Worldwide Holdings Inc
$27.24M 206.17K 204.08K +1.0
$26.21M 168.53K 171.78K -1.9
$25.59M 318.17K 329.38K -3.4
$21.13M 149.36K 148.41K +0.6
$17.35M 124.47K 126.09K -1.3
$17.09M 316.48K 312.19K +1.4
Enbridge Inc Com
$16.39M 411.84K 404.51K +1.8
$15.98M 203.56K 206.86K -1.6
$15.14M 1.76M 1.78M -1.1
$13.86M 534.34K 530.06K +0.8
Duke Energy Corp New Com New
$13.81M 141.48K 142.03K -0.4
$13.2M 60.18K 63.42K -5.1
$13M 173.01K 173.33K -0.2
Holdings list only includes long positions. Only includes long positions.

Calendar

8 Dec 21
31 Dec 21

Financial reports

No filings

Current reports

No filings

Registration and prospectus

No filings

Proxies

No filings

Other

No filings