Bracebridge Capital is a fund manager in Boston with $48.75 bn assets under management.
Company profile
Website
Employees
Incorporated
Location
Fiscal year end
Industry
SEC CIK
IRS number
43344637
SEC advisor number
801-73416
FINRA CRD number
158343
AUM ?
$48.75 bn
(as of 30 Jan 23)
Accounts
12
(as of 30 Jan 23)
Employees
147
(54 investment advisory or research)
Address
Bracebridge Capital
888 BOYLSTON STREET
SUITE 1500
BOSTON
MA 02199
888 BOYLSTON STREET
SUITE 1500
BOSTON
MA 02199
Phone
617-497-3500
Brochures
Ownership
Fund structure | AUM | Fund type |
---|---|---|
Bracebridge Capital, LLC | $48.75 bn | |
Bpi LTD. | $1.14 bn | Hedge Fund |
Ffi Fund LTD. | $35.31 bn | Hedge Fund |
New Ffio LTD. | $894.18 mm | Hedge Fund |
Bil, LTD. | $7.17 bn | Hedge Fund |
Ffip, LP | $2.28 bn | Hedge Fund |
Abil, LTD. | $25.73 mm | Hedge Fund |
Fyi LTD. | $6.89 bn | Hedge Fund |
New Fyi LTD. | $1.72 bn | Hedge Fund |
Olifant Fund, LTD. | $6.31 bn | Hedge Fund |
SBFF LTD. | $1.44 bn | Hedge Fund |
Value Recovery Fund Limited | $16.27 mm | Hedge Fund |
Wingspan, L.P. | $1.67 bn | Hedge Fund |
Latest filings (excl ownership)
No filings
Latest ownership filings
SC 13D
Quotient Ltd
15 Dec 22
13F-HR
Quarterly holdings report by institutional manager
1 Nov 22
13F-HR
Quarterly holdings report by institutional manager
8 Aug 22
SC 13G/A
Clarus Therapeutics Holdings, Inc.
6 Jul 22
3
Luxco S.a r.l. Olifant
27 Jun 22
SC 13G
Mallinckrodt plc
27 Jun 22
13F-HR
Quarterly holdings report by institutional manager
11 May 22
SC 13G/A
Clarus Therapeutics Holdings, Inc.
14 Feb 22
13F-HR
Quarterly holdings report by institutional manager
14 Feb 22
13F-HR
Quarterly holdings report by institutional manager
12 Nov 21