Sprucegrove Investment Management is a fund manager in Toronto, Ontario with $24.48 bn assets under management.
Company profile
Website
Employees
Incorporated
Location
Fiscal year end
Industry
SEC CIK
SEC advisor number
801-45884
FINRA CRD number
106355
AUM ?
$17.28 bn
(as of 28 Mar 24)
Accounts
53
(as of 28 Mar 24)
Employees
60
(20 investment advisory or research)
Address
Sprucegrove Investment Management
181 UNIVERSITY AVE
STE 1300
TORONTO
A6 M5H 3M7
181 UNIVERSITY AVE
STE 1300
TORONTO
A6 M5H 3M7
Phone
416-363-5854
Ownership
Fund structure | AUM | Fund type |
---|---|---|
Sprucegrove Investment Management LTD | $24.48 bn | |
Sprucegrove All Country World Ex Us Pooled Fund | $357.06 mm | Other Private Fund |
Sprucegrove All Country World Fund (Delaware) | $1.32 bn | Other Private Fund |
Sprucegrove Delaware Statutory Trust: Sprucegrove U.S. International Investment Fund | $271.39 mm | Other Private Fund |
Sprucegrove Group Trust: Sprucegrove U.S. International Pooled Fund | $432.63 mm | Other Private Fund |
Latest filings (excl ownership)
No filings
Latest ownership filings
SC 13G
Copa Holdings, S.A.
29 Jan 24
13F-HR
Quarterly holdings report by institutional manager
29 Jan 24
13F-HR
Quarterly holdings report by institutional manager
13 Nov 23
13F-HR
Quarterly holdings report by institutional manager
11 Aug 23
13F-HR
Quarterly holdings report by institutional manager
10 May 23
SC 13G
Copa Holdings, S.A.
8 Feb 23
13F-HR
Quarterly holdings report by institutional manager
8 Feb 23
13F-HR
Quarterly holdings report by institutional manager
9 Nov 22
13F-HR
Quarterly holdings report by institutional manager
11 Aug 22
13F-HR
Quarterly holdings report by institutional manager
16 May 22