Oak Hill Capital Management, Llc
- Regulatory AUM
- $13.9B
- Discretionary
- $13.9B
- Clients
- 35
- Avg AUM / client
- $398M
- Accounts
- 35
- Employees
- 52
AUM over time
Annual snapshots from Form ADV filings · as of Mar 30, 2026
Investments (13F portfolio — 1 positions, $0)
13F period Sep 30, 2025| # | Issuer | Class | Value | Shares | % of 13F | % of AUM |
|---|---|---|---|---|---|---|
| 1 | N/A | N/A | $0 | 0 | — | 0.0% |
Top 25 of 1 positions from the manager's latest Form 13F · source filing (EDGAR) ↗. 13F covers long US-listed positions only. "% of AUM" is share of the firm's total regulatory AUM (Form ADV Item 5.F).
Who they serve
| Client type | Clients | AUM | % of AUM |
|---|---|---|---|
| Pooled investment vehicles (non-investment companies) | 35 | $13.9B | 100.0% |
Private funds (33)
View all →Reported in Form ADV Section 7.B.(1), filing of Mar 2024 · $13.5B combined gross assets
| Fund | Type | Domicile | Gross assets | Owners |
|---|---|---|---|---|
| Oak Hill Capital Partners V (Onshore), L.P. master | Private Equity Fund | Cayman Islands | $2.3B | 100 |
| Oak Hill Capital Partners Vi (Onshore), L.P. | Private Equity Fund | Delaware | $1.6B | 244 |
| Oak Hill Capital Partners V (Offshore), L.P. | Private Equity Fund | Cayman Islands | $1.3B | 95 |
| Oak Hill Capital Partners Iv (Onshore), L.P. | Private Equity Fund | Cayman Islands | $1.0B | 198 |
| Oak Hill Capital Partners Vi (Te 892), L.P. | Private Equity Fund | Delaware | $879M | 53 |
| Oak Hill Capital Partners V (Offshore 892), L.P. | Private Equity Fund | Cayman Islands | $677M | 7 |
| Oak Hill Capital Partners Vi (Offshore), L.P. | Private Equity Fund | Delaware | $645M | 73 |
| Ohcp V Mn Coi, L.P. | Private Equity Fund | Cayman Islands | $515M | 41 |
| Ohcp V Tc Coi, L.P. | Private Equity Fund | Cayman Islands | $412M | 11 |
| Ohcp Iv Bc Coi R, L.P. | Private Equity Fund | Delaware | $404M | 2 |
| Ohcp V Mn Coi (Aiv), L.P. | Private Equity Fund | Cayman Islands | $401M | 32 |
| Oak Hill Capital Partners V (Onshore Tax Exempt), L.P. | Private Equity Fund | Cayman Islands | $361M | 25 |
| Oak Hill Capital Partners Iv (Offshore), L.P. | Private Equity Fund | Cayman Islands | $337M | 50 |
| Oak Hill Capital Partners Vi (Management), L.P. | Private Equity Fund | Delaware | $268M | 6 |
| Ohcp Iv Sf Coi, L.P. | Private Equity Fund | Cayman Islands | $267M | 21 |
People (6)
| Name | Role / title | Credentials | With firm since | Ownership |
|---|---|---|---|---|
| Taylor, Christopher, Michael | Chief Financial Officer | Jan 2016 (11y) | Less than 5% | |
| Kahn, Allan, Isaac | Chief Compliance Officer | Jan 2017 (10y) | Less than 5% | |
| Cherry, Brian, Neal | Member | Oct 2019 (7y) | 25% – 50% of Ohcm Management Gp, Llc (indirect) | |
| Puccinelli, Steven, Gary | Member | Oct 2019 (7y) | 25% – 50% of Ohcm Management Gp, Llc (indirect) | |
| Wolfram, Tyler, Jon | Member | Oct 2019 (7y) | 25% – 50% of Ohcm Management Gp, Llc (indirect) | |
| Baker, Scott, Anthony | Member | Jan 2024 (3y) | GP / trustee / elected manager of Ohcm Management Gp, Llc (indirect) |
Entity owners (Schedule A/B)
| Entity | Title / status | Since | Sch. | Ownership |
|---|---|---|---|---|
| Ohcm Management, L.P. | Managing Member | Jul 2005 | A | 75% or more |
| W Oracle Management Mip Splitter L.P. | Member | Sep 2022 | A | 10% – 25% |
| Wsh Oracle (S) Llc | Limited Partner | Sep 2022 | B | ≈ 7.5% – 25% via W Oracle Management Mip Splitter L.P. |
| Wafra Strategic Holdings Lp | Managing Member | Aug 2022 | B | ≈ 2.81% – 18.75% via Wsh Oracle (B) Llc |
| The Public Institution For Social Security | Limited Partner | Mar 2020 | B | ≈ 2.11% – 18.75% via Wafra Strategic Holdings Lp |
| Government Of Kuwait | Sole Owner | Jan 1990 | B | ≈ 1.58% – 18.75% via The Public Institution For Social Security |
| Wsh Oracle (B) Llc | Member | Aug 2022 | B | ≈ 3.75% – 18.75% via Wsh Oracle (S) Llc |
| Wsh Oracle Holdings Ltd | Member | Aug 2022 | B | ≈ 1.88% – 12.5% via Wsh Oracle (S) Llc |
| Ohcm Management Gp, Llc | General Partner | Oct 2019 | B | GP / trustee / elected manager of Ohcm Management, L.P. (indirect) |
| Wsh Gp Llc | General Partner | Sep 2022 | B | GP / trustee / elected manager of W Oracle Management Mip Splitter L.P. (indirect) |
| Wsh Gp Llc | Manager | Aug 2022 | B | GP / trustee / elected manager of Wsh Oracle (S) Llc (indirect) |
Undisclosed: 0% – 15% of the firm is not attributable from the filed Schedule A bands.
Estimated effective ownership (look-through of filed bands):
- Wsh Oracle (S) Llc: 75% – 100% of W Oracle Management Mip Splitter L.P. × 10% – 25% direct ≈ 7.5% – 25% of the firm
- Wafra Strategic Holdings Lp: 75% – 100% of Wsh Oracle (B) Llc × 50% – 75% of Wsh Oracle (S) Llc × 75% – 100% of W Oracle Management Mip Splitter L.P. × 10% – 25% direct ≈ 2.81% – 18.75% of the firm
- The Public Institution For Social Security: 75% – 100% of Wafra Strategic Holdings Lp × 75% – 100% of Wsh Oracle (B) Llc × 50% – 75% of Wsh Oracle (S) Llc × 75% – 100% of W Oracle Management Mip Splitter L.P. × 10% – 25% direct ≈ 2.11% – 18.75% of the firm
- Government Of Kuwait: 75% – 100% of The Public Institution For Social Security × 75% – 100% of Wafra Strategic Holdings Lp × 75% – 100% of Wsh Oracle (B) Llc × 50% – 75% of Wsh Oracle (S) Llc × 75% – 100% of W Oracle Management Mip Splitter L.P. × 10% – 25% direct ≈ 1.58% – 18.75% of the firm
- Wsh Oracle (B) Llc: 50% – 75% of Wsh Oracle (S) Llc × 75% – 100% of W Oracle Management Mip Splitter L.P. × 10% – 25% direct ≈ 3.75% – 18.75% of the firm
- Wsh Oracle Holdings Ltd: 25% – 50% of Wsh Oracle (S) Llc × 75% – 100% of W Oracle Management Mip Splitter L.P. × 10% – 25% direct ≈ 1.88% – 12.5% of the firm
Roster from the IAPD representatives feed; ownership and acquisition dates from Form ADV Schedule A/B. "Since" is the earliest filed registration or acquisition date.
Private funds (33, $13.5B gross assets)
| Fund | Type | Gross assets | Min. investment | Owners |
|---|---|---|---|---|
| Oak Hill Capital Partners V (Onshore), L.P. | Private Equity Fund | $2.3B | $100K | 100 |
| Oak Hill Capital Partners Vi (Onshore), L.P. | Private Equity Fund | $1.6B | $100K | 244 |
| Oak Hill Capital Partners V (Offshore), L.P. | Private Equity Fund | $1.3B | $100K | 95 |
| Oak Hill Capital Partners Iv (Onshore), L.P. | Private Equity Fund | $1.0B | $10.0M | 198 |
| Oak Hill Capital Partners Vi (Te 892), L.P. | Private Equity Fund | $879M | $100K | 53 |
| Oak Hill Capital Partners V (Offshore 892), L.P. | Private Equity Fund | $677M | $100K | 7 |
| Oak Hill Capital Partners Vi (Offshore), L.P. | Private Equity Fund | $645M | $100K | 73 |
| Ohcp V Mn Coi, L.P. | Private Equity Fund | $515M | $100K | 41 |
| Ohcp V Tc Coi, L.P. | Private Equity Fund | $412M | $100K | 11 |
| Ohcp Iv Bc Coi R, L.P. | Private Equity Fund | $404M | $100K | 2 |
| Ohcp V Mn Coi (Aiv), L.P. | Private Equity Fund | $401M | $100K | 32 |
| Oak Hill Capital Partners V (Onshore Tax Exempt), L.P. | Private Equity Fund | $361M | $100K | 25 |
| Oak Hill Capital Partners Iv (Offshore), L.P. | Private Equity Fund | $337M | $10.0M | 50 |
| Oak Hill Capital Partners Vi (Management), L.P. | Private Equity Fund | $268M | $100K | 6 |
| Ohcp Iv Sf Coi, L.P. | Private Equity Fund | $267M | $100K | 21 |
| Ohcp Vi (As Onshore Feeder), L.P. | Private Equity Fund | $199M | $100K | 2 |
| Oak Hill Capital Partners V (Onshore Feeder), L.P. | Private Equity Fund | $185M | $100K | 164 |
| Ohcp Iv Bc R, L.P. | Private Equity Fund | $178M | $100K | 29 |
| Ohcp Iv Mn R, L.P. | Private Equity Fund | $160M | $100K | 38 |
| Ohcp V Bc Coi, L.P. | Private Equity Fund | $160M | $100K | 16 |
| Oak Hill Capital Partners Iv (Onshore Tax Exempt), L.P. | Private Equity Fund | $160M | $10.0M | 30 |
| Ohcp V Ga Coi, L.P. | Private Equity Fund | $152M | $100K | 14 |
| Ohcp Vi Ma Coi, L.P. | Private Equity Fund | $149M | $100K | 18 |
| Oak Hill Capital Partners V (Management), L.P. | Private Equity Fund | $146M | $100K | 36 |
| Ohcp V Ga Ii Coi, L.P. | Private Equity Fund | $146M | $100K | 11 |
Top 25 of 33 funds by gross assets · all funds
From Form ADV Section 7.B private fund reporting.
Documents (1 archived)
| Form | Period | Size | |
|---|---|---|---|
| Form ADV (full filing) | 03/30/2026 | 7.77 MB | View · PDF · Source ↗ |
Archived copies of the firm's regulatory filings, versioned by content hash.
Disciplinary disclosures
No disciplinary events reported on the firm's latest Form ADV filing.
How they charge
- • Percentage of assets under management
- • Performance-based fees
- • Other fees
- • ADDITIONAL FEES AS DISCUSSED IN FORM ADV PART 2A
Services
- • Portfolio management for pooled investment vehicles
Custody
Firm reports having custody of client funds or securities (Item 9.A).
No custodian data reported or mined yet.
Source
All data on this page comes from this firm's Form ADV filings, reproduced without modification. Latest filing: Mar 30, 2026.
View current Form ADV (SEC/IAPD) ↗