AUMdb

Talson Capital Management L.P.

SEC-registered Private Fund Manager · Mid-sized ($1B–$10B) CRD 150787 · SEC file 801-77577 · Darien, CT · WWW.LINKEDIN.COM
☆ Save with Pro ADV data as of Mar 18, 2026
Regulatory AUM
$1.1B
Discretionary
$1.1B
Clients
36
Avg AUM / client
$29.5M
Accounts
36
Employees
8

AUM over time

$197M $1.1B
Jan 14, 2013 Mar 18, 2026

Reported AUM from Form ADV filings, plotted by filing date · as of Mar 18, 2026

Who they serve

Client typeClientsAUM% of AUM
High net worth individuals 14 $33.5M 3.15%
Pooled investment vehicles (non-investment companies) 21 $1.0B 96.5%
Corporations and other businesses 1 $4.2M 0.4%

Private funds (16)

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Reported in Form ADV Section 7.B.(1), filing of Mar 2024 · $498M combined gross assets

FundTypeDomicileGross assetsOwners
Taylor Insurance Series Lp Sound Point Clo Equity Fund Hedge Fund Delaware $91.4M 3
Taylor Insurance Series Lp Hedge Fund Delaware $79.8M 5
Taylor Insurance Series Silvercrest Insurance Series Hedge Fund Delaware $55.0M 1
Taylor Insurance Series Lp Taylor Insurance Opportunities Series Hedge Fund Delaware $51.6M 2
Taylor Insurance Series Lp Corient Insurance Series Hedge Fund Delaware $50.1M 1
Taylor Insurance Series Lp Relative Value Strategies Series Hedge Fund Delaware $40.5M 1
Talson Partners Lp master Hedge Fund Delaware $34.7M 18
Taylor Insurance Series Lp Talson Acier Fund Hedge Fund Delaware $33.0M 2
Talson Lag Advantage, Lp Hedge Fund Delaware $19.4M 1
Talson Credit Opportunities Lp Hedge Fund Delaware $16.9M 1
Talson Discover Insurance Fund, Lp Hedge Fund Delaware $8.0M 3
Talson Discover Qualified Fund Lp Hedge Fund Delaware $5.7M 12
Talson Discover 3 C1 Fund Lp Hedge Fund Delaware $4.0M 9
Talson Systematic Insurance Fund Lp Hedge Fund Delaware $3.9M 1
Talson Discover Qualified Offshore Fund Ltd Hedge Fund Cayman Islands $2.9M 1

People (2)

NameRole / titleCredentialsWith firm sinceOwnership
Napolitano, Dominic, Michael Managing Member/Ceo/Limited Partner Mar 2009 (17y) 75% or more
Colasurdo, Douglas, Robert Cfo/Cco Jun 2015 (11y) Less than 5%

Entity owners (Schedule A/B)

EntityTitle / statusSinceSch.Ownership
Talson Capital Management Gp Llc Managing Member/General Partner Apr 2015 A Less than 5%

Undisclosed: 0% – 25% of the firm is not attributable from the filed Schedule A bands.

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 (16, $498M gross assets)

FundTypeGross assetsMin. investmentOwners
Taylor Insurance Series Lp Sound Point Clo Equity Fund Hedge Fund $91.4M $500K 3
Taylor Insurance Series Lp Hedge Fund $79.8M $500K 5
Taylor Insurance Series Silvercrest Insurance Series Hedge Fund $55.0M $1.0M 1
Taylor Insurance Series Lp Taylor Insurance Opportunities Series Hedge Fund $51.6M $48.2M 2
Taylor Insurance Series Lp Corient Insurance Series Hedge Fund $50.1M $500K 1
Taylor Insurance Series Lp Relative Value Strategies Series Hedge Fund $40.5M $500K 1
Talson Partners Lp Hedge Fund $34.7M $500K 18
Taylor Insurance Series Lp Talson Acier Fund Hedge Fund $33.0M $500K 2
Talson Lag Advantage, Lp Hedge Fund $19.4M $1.0M 1
Talson Credit Opportunities Lp Hedge Fund $16.9M $1.0M 1
Talson Discover Insurance Fund, Lp Hedge Fund $8.0M $1.0M 3
Talson Discover Qualified Fund Lp Hedge Fund $5.7M $1.0M 12
Talson Discover 3 C1 Fund Lp Hedge Fund $4.0M $250K 9
Talson Systematic Insurance Fund Lp Hedge Fund $3.9M $1.0M 1
Talson Discover Qualified Offshore Fund Ltd Hedge Fund $2.9M $1.0M 1
Talson Bracebridge Insurance Fund Lp Hedge Fund $1.2M $1.0M 1

From Form ADV Section 7.B private fund reporting.

Documents (1 archived)

FormPeriodSize
Form ADV (full filing) 03/18/2026 5.61 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
  • Fixed fees
  • Performance-based fees

Services

  • Portfolio management for individuals/small businesses
  • Portfolio management for pooled investment vehicles
  • Selection of other advisers

Custody

Reported custodians

Amounts as reported in ADV Item 5.K.(3) (custodians holding 10%+ of SMA assets).

Firm reports it does not have 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: Mar 18, 2026.

View current Form ADV (SEC/IAPD) ↗