Onex Credit Partners, Llc
- Regulatory AUM
- $30.1B
- Discretionary
- $30.1B
- Clients
- 81
- Avg AUM / client
- $372M
- Accounts
- 81
- Employees
- 80
AUM over time
Annual snapshots from Form ADV filings · as of May 15, 2026
Who they serve
| Client type | Clients | AUM | % of AUM |
|---|---|---|---|
| Pooled investment vehicles (non-investment companies) | 80 | $30.1B | 99.8% |
| Other investment advisers | 1 | $55.8M | 0.19% |
Private funds (45)
View all →Reported in Form ADV Section 7.B.(1), filing of Nov 2024 · $18.2B combined gross assets
| Fund | Type | Domicile | Gross assets | Owners |
|---|---|---|---|---|
| Ocp Clo 2014 6, Ltd | Securitized Asset Fund | Cayman Islands | $886M | 20 |
| Onex Credit Lending Partners I Lp | Hedge Fund | Cayman Islands | $870M | 43 |
| Ocp Clo 2018 15, Ltd | Securitized Asset Fund | Cayman Islands | $589M | 16 |
| Ocp Clo 2017 13, Ltd | Securitized Asset Fund | Cayman Islands | $579M | 23 |
| Onex Structured Credit Opportunities Fund I, Lp master | Hedge Fund | Cayman Islands | $564M | 332 |
| Ocp Clo 2016 12, Ltd | Securitized Asset Fund | Cayman Islands | $555M | 20 |
| Ocp Clo 2021 22, Ltd | Securitized Asset Fund | Cayman Islands | $532M | 19 |
| Ocp Clo 2017 14, Ltd | Securitized Asset Fund | Cayman Islands | $525M | 17 |
| Onex Senior Credit Fund, L.P. master | Hedge Fund | Cayman Islands | $509M | 45 |
| Ocp Clo 2020 19, Ltd | Securitized Asset Fund | Cayman Islands | $502M | 30 |
| Ocp Clo 2021 21, Ltd | Securitized Asset Fund | Cayman Islands | $501M | 12 |
| Ocp Clo 2019 17, Ltd | Securitized Asset Fund | Cayman Islands | $498M | 23 |
| Ocp Clo 2019 16, Ltd | Securitized Asset Fund | Cayman Islands | $494M | 12 |
| Ocp Clo 2023 28, Ltd. | Securitized Asset Fund | Jersey | $489M | 20 |
| Ocp Euro Clo 2019 3 Designated Activity Company | Securitized Asset Fund | Ireland | $470M | 16 |
People (4)
| Name | Role / title | Credentials | With firm since | Ownership |
|---|---|---|---|---|
| Schwartz, Gerald, Wilfred | Shareholder | Mar 2013 (13y) | ≈ 5.01% – 75% via New Oncan Canadian Holdings Ltd. | |
| Jaber, Ronnie, Hasan | Director And Head Of Onex Credit | Dec 2023 (3y) | Less than 5% | |
| Drozd, Zachary, Stephen | Director, Cco And Deputy General Counsel | Mar 2024 (2y) | Less than 5% | |
| Mack, John, Karl | Director | Mar 2024 (2y) | Less than 5% |
Entity owners (Schedule A/B)
| Entity | Title / status | Since | Sch. | Ownership |
|---|---|---|---|---|
| Onex Us Holdings Llc | Owner | Dec 2023 | A | 75% or more |
| Onex Corporation | Shareholder | Nov 2007 | B | ≈ 56.25% – 100% via Onex Us Holdings Llc |
| 1597257 Ontario Inc. | Shareholder | Dec 2016 | B | ≈ 15.82% – 75% via New Pco Ii Investments Ltd. |
| Oncan Canadian Holdings Ltd. | Shareholder | Mar 2016 | B | ≈ 8.9% – 75% via Afic Capital Ltd. |
| New Oncan Canadian Holdings Ltd. | Shareholder | Mar 2013 | B | ≈ 6.67% – 75% via Oncan Canadian Holdings Ltd. |
| Afic Capital Ltd. | Shareholder | Apr 2016 | B | ≈ 11.87% – 75% via 1597257 Ontario Inc. |
| New Pco Ii Investments Ltd. | Shareholder | Mar 2017 | B | ≈ 21.09% – 75% via Omil Holdings Limited |
| Omil Holdings Limited | Shareholder | Mar 2003 | B | ≈ 28.13% – 75% via Onex Corporation |
Undisclosed: 0% – 25% of the firm is not attributable from the filed Schedule A bands.
Estimated effective ownership (look-through of filed bands):
- Schwartz, Gerald, Wilfred: 75% – 100% of New Oncan Canadian Holdings Ltd. × 75% – 100% of Oncan Canadian Holdings Ltd. × 75% – 100% of Afic Capital Ltd. × 75% – 100% of 1597257 Ontario Inc. × 75% – 100% of New Pco Ii Investments Ltd. × 75% – 100% of Omil Holdings Limited × 50% – 75% of Onex Corporation × 75% – 100% of Onex Us Holdings Llc × 75% – 100% direct ≈ 5.01% – 75% of the firm
- Onex Corporation: 75% – 100% of Onex Us Holdings Llc × 75% – 100% direct ≈ 56.25% – 100% of the firm
- 1597257 Ontario Inc.: 75% – 100% of New Pco Ii Investments Ltd. × 75% – 100% of Omil Holdings Limited × 50% – 75% of Onex Corporation × 75% – 100% of Onex Us Holdings Llc × 75% – 100% direct ≈ 15.82% – 75% of the firm
- Oncan Canadian Holdings Ltd.: 75% – 100% of Afic Capital Ltd. × 75% – 100% of 1597257 Ontario Inc. × 75% – 100% of New Pco Ii Investments Ltd. × 75% – 100% of Omil Holdings Limited × 50% – 75% of Onex Corporation × 75% – 100% of Onex Us Holdings Llc × 75% – 100% direct ≈ 8.9% – 75% of the firm
- New Oncan Canadian Holdings Ltd.: 75% – 100% of Oncan Canadian Holdings Ltd. × 75% – 100% of Afic Capital Ltd. × 75% – 100% of 1597257 Ontario Inc. × 75% – 100% of New Pco Ii Investments Ltd. × 75% – 100% of Omil Holdings Limited × 50% – 75% of Onex Corporation × 75% – 100% of Onex Us Holdings Llc × 75% – 100% direct ≈ 6.67% – 75% of the firm
- Afic Capital Ltd.: 75% – 100% of 1597257 Ontario Inc. × 75% – 100% of New Pco Ii Investments Ltd. × 75% – 100% of Omil Holdings Limited × 50% – 75% of Onex Corporation × 75% – 100% of Onex Us Holdings Llc × 75% – 100% direct ≈ 11.87% – 75% of the firm
- New Pco Ii Investments Ltd.: 75% – 100% of Omil Holdings Limited × 50% – 75% of Onex Corporation × 75% – 100% of Onex Us Holdings Llc × 75% – 100% direct ≈ 21.09% – 75% of the firm
- Omil Holdings Limited: 50% – 75% of Onex Corporation × 75% – 100% of Onex Us Holdings Llc × 75% – 100% direct ≈ 28.13% – 75% 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 (45, $18.2B gross assets)
| Fund | Type | Gross assets | Min. investment | Owners |
|---|---|---|---|---|
| Ocp Clo 2014 6, Ltd | Securitized Asset Fund | $886M | $100K | 20 |
| Onex Credit Lending Partners I Lp | Hedge Fund | $870M | $10.0M | 43 |
| Ocp Clo 2018 15, Ltd | Securitized Asset Fund | $589M | $250K | 16 |
| Ocp Clo 2017 13, Ltd | Securitized Asset Fund | $579M | $250K | 23 |
| Onex Structured Credit Opportunities Fund I, Lp | Hedge Fund | $564M | $5.0M | 332 |
| Ocp Clo 2016 12, Ltd | Securitized Asset Fund | $555M | $250K | 20 |
| Ocp Clo 2021 22, Ltd | Securitized Asset Fund | $532M | $250K | 19 |
| Ocp Clo 2017 14, Ltd | Securitized Asset Fund | $525M | $250K | 17 |
| Onex Senior Credit Fund, L.P. | Hedge Fund | $509M | $1.0M | 45 |
| Ocp Clo 2020 19, Ltd | Securitized Asset Fund | $502M | $250K | 30 |
| Ocp Clo 2021 21, Ltd | Securitized Asset Fund | $501M | $250K | 12 |
| Ocp Clo 2019 17, Ltd | Securitized Asset Fund | $498M | $250K | 23 |
| Ocp Clo 2019 16, Ltd | Securitized Asset Fund | $494M | $250K | 12 |
| Ocp Clo 2023 28, Ltd. | Securitized Asset Fund | $489M | $250K | 20 |
| Ocp Euro Clo 2019 3 Designated Activity Company | Securitized Asset Fund | $470M | $100K | 16 |
| Ocp Aegis Clo 2023 29, Ltd. | Securitized Asset Fund | $454M | $250K | 14 |
| Ocp Euro Clo 2022 5 Designated Activity Company | Securitized Asset Fund | $439M | $250K | 23 |
| Ocp Euro Clo 2020 4 Designated Activity Company | Securitized Asset Fund | $438M | $140K | 12 |
| Onex Capital Solutions (Luxembourg), Scsp | Hedge Fund | $410M | $100K | 164 |
| Ocp Clo 2023 26, Ltd. | Securitized Asset Fund | $407M | $250K | 28 |
| Osd Clo 2023 27 Ltd. | Securitized Asset Fund | $405M | $250K | 12 |
| Ocp Clo 2015 9, Ltd | Securitized Asset Fund | $404M | $250K | 29 |
| Ocp Clo 2022 24, Ltd | Securitized Asset Fund | $403M | $250K | 14 |
| Ocp Clo 2020 20, Ltd | Securitized Asset Fund | $403M | $250K | 18 |
| Ocp Clo 2015 10, Ltd | Securitized Asset Fund | $401M | $100K | 19 |
Top 25 of 45 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) | 05/15/2026 | 14.2 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
Services
- • Portfolio management for pooled investment vehicles
- • Portfolio management for businesses/institutional clients
Custody
Reported custodians
- Cibc Mellon Trust Company $54.7M (0% of AUM) May 2026
- U.S. Bank $1.1M (0% of AUM) May 2026
Amounts as reported in ADV Item 5.K.(3) (custodians holding 10%+ of SMA assets).
Firm reports having custody of client funds or securities (Item 9.A).
Source
All data on this page comes from this firm's Form ADV filings, reproduced without modification. Latest filing: May 15, 2026.
View current Form ADV (SEC/IAPD) ↗