AUMdb

Blue Owl Credit Private Fund Advisors Llc

SEC-registered Private Fund Manager · Large ($10B–$100B) CRD 297506 · SEC file 801-113629 · New York, NY · www.linkedin.com
☆ Save with Pro ADV data as of Jun 17, 2026
Regulatory AUM
$46.1B
Discretionary
$43.2B
Clients
154
Avg AUM / client
$299M
Accounts
154
Employees
250

AUM over time

$0 $46.1B
Jun 2018 Jun 2026

Annual snapshots from Form ADV filings · as of Jun 17, 2026

Asset allocation (SMA assets by investment type)

as of Jun 17, 2026
Other
$41.5B 90%
Non-exchange-traded equities
$3.2B 7%
Cash & equivalents
$1.4B 3%

Share of SMA assets by investment vehicle type, as filed in Form ADV Item 5.K. Dollar figures are percentages applied to total regulatory AUM.

Who they serve

Client typeClientsAUM% of AUM
Banking or thrift institutions 1 $449M 0.97%
Pooled investment vehicles (non-investment companies) 120 $32.8B 71.1%
Pension and profit sharing plans 17 $9.0B 19.6%
Charitable organizations 2 $275M 0.6%
State or municipal government entities 3 $1.3B 2.72%
Other investment advisers 4 $29.9M 0.06%
Sovereign wealth funds and foreign official institutions 3 $762M 1.65%
Corporations and other businesses 4 $1.5B 3.27%

Private funds (46)

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Reported in Form ADV Section 7.B.(1), filing of Nov 2024 · $19.1B combined gross assets

FundTypeDomicileGross assetsOwners
Blue Owl First Lien Master Fund Lp master Hedge Fund Delaware $2.5B 50
Blue Owl Opportunistic Lending Master Fund I Lp master Private Equity Fund Delaware $1.9B 201
Blue Owl Asset Special Opportunities Fund Viii Lp master Hedge Fund Delaware $1.9B 351
Blue Owl Asset Special Opportunities Fund Ix Lp master Hedge Fund Delaware $1.1B 232
Blue Owl Mc Debt Opportunities Lp Hedge Fund Cayman Islands $625M 2
Blue Owl Healthcare Opportunities Iv Lp Hedge Fund Delaware $591M 798
Wellfleet Clo 2022 2, Ltd. Securitized Asset Fund Cayman Islands $499M 1
Wellfleet Clo 2022 1, Ltd. Securitized Asset Fund Cayman Islands $498M 4
Wellfleet Clo 2021 3, Ltd. Securitized Asset Fund Cayman Islands $496M 3
Wellfleet Clo 2018 2, Ltd. Securitized Asset Fund Cayman Islands $492M 2
Wellfleet Clo 2021 2, Ltd. Securitized Asset Fund Cayman Islands $448M 3
Wellfleet Clo 2020 1, Ltd. Securitized Asset Fund Cayman Islands $446M 2
Parliament Clo Ii Ltd. Securitized Asset Fund Cayman Islands $422M 1
Parliament Funding Ii Ltd. Securitized Asset Fund Cayman Islands $415M 1
Tralee Clo Vii, Ltd. Securitized Asset Fund Cayman Islands $401M 2

People (7)

NameRole / titleCredentialsWith firm sinceOwnership
Hager, Karen, Nmn Chief Compliance Officer May 2021 (5y) Less than 5%
Kirshenbaum, Alan, Jay Chief Financial Officer May 2021 (5y) Less than 5%
Ostrover, Douglas, Irving Co Chief Executive Officer May 2021 (5y) Less than 5%
Polland, Andrew, Robert Chief Operating Officer May 2021 (5y) Less than 5%
Reddy, Neena, Ann Chief Legal Officer May 2021 (5y) Less than 5%
Lipschultz, Marc, Steven Co Chief Executive Officer May 2023 (3y) Less than 5%
Packer, Craig, William Co President May 2023 (3y) Less than 5%

Entity owners (Schedule A/B)

EntityTitle / statusSinceSch.Ownership
Blue Owl Capital Holdings Llc Member May 2021 A 75% or more
Blue Owl Capital Group Llc Member May 2021 B ≈ 56.25% – 100% via Blue Owl Capital Holdings Llc
Blue Owl Capital Inc. Member Nov 2021 B 75% or more of Blue Owl Capital Gp Holdings Llc (indirect)
Blue Owl Capital Holdings Lp Member May 2021 B ≈ 42.19% – 100% via Blue Owl Capital Group Llc
Blue Owl Capital Gp Holdings Llc Member Nov 2021 B 75% or more of Blue Owl Capital Gp Llc (indirect)
Nbsh Blue Investments, Llc Limited Partner May 2021 B ≈ 10.55% – 50% via Blue Owl Capital Holdings Lp
Blue Owl Capital Gp Llc General Partner May 2021 B GP / trustee / elected manager of Blue Owl Capital Holdings Lp (indirect)
Nbsh Acquisition, Llc Member May 2021 B GP / trustee / elected manager of Nbsh Blue Investments, Llc (indirect)

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

Estimated effective ownership (look-through of filed bands):

  • Blue Owl Capital Group Llc: 75% – 100% of Blue Owl Capital Holdings Llc × 75% – 100% direct ≈ 56.25% – 100% of the firm
  • Blue Owl Capital Holdings Lp: 75% – 100% of Blue Owl Capital Group Llc × 75% – 100% of Blue Owl Capital Holdings Llc × 75% – 100% direct ≈ 42.19% – 100% of the firm
  • Nbsh Blue Investments, Llc: 25% – 50% of Blue Owl Capital Holdings Lp × 75% – 100% of Blue Owl Capital Group Llc × 75% – 100% of Blue Owl Capital Holdings Llc × 75% – 100% direct ≈ 10.55% – 50% 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 (46, $19.1B gross assets)

FundTypeGross assetsMin. investmentOwners
Blue Owl First Lien Master Fund Lp Hedge Fund $2.5B $5.0M 50
Blue Owl Opportunistic Lending Master Fund I Lp Private Equity Fund $1.9B $5.0M 201
Blue Owl Asset Special Opportunities Fund Viii Lp Hedge Fund $1.9B $10.0M 351
Blue Owl Asset Special Opportunities Fund Ix Lp Hedge Fund $1.1B $10.0M 232
Blue Owl Mc Debt Opportunities Lp Hedge Fund $625M $0 2
Blue Owl Healthcare Opportunities Iv Lp Hedge Fund $591M $5.0M 798
Wellfleet Clo 2022 2, Ltd. Securitized Asset Fund $499M $250K 1
Wellfleet Clo 2022 1, Ltd. Securitized Asset Fund $498M $250K 4
Wellfleet Clo 2021 3, Ltd. Securitized Asset Fund $496M $250K 3
Wellfleet Clo 2018 2, Ltd. Securitized Asset Fund $492M $250K 2
Wellfleet Clo 2021 2, Ltd. Securitized Asset Fund $448M $250K 3
Wellfleet Clo 2020 1, Ltd. Securitized Asset Fund $446M $250K 2
Parliament Clo Ii Ltd. Securitized Asset Fund $422M $250K 1
Parliament Funding Ii Ltd. Securitized Asset Fund $415M $250K 1
Tralee Clo Vii, Ltd. Securitized Asset Fund $401M $250K 2
Wellfleet Clo 2021 1, Ltd. Securitized Asset Fund $399M $250K 3
Wellfleet Clo 2020 2, Ltd. Securitized Asset Fund $399M $250K 3
Wellfleet Clo 2019 1, Ltd. Securitized Asset Fund $395M $250K 2
Wellfleet Clo 2018 3, Ltd. Securitized Asset Fund $394M $250K 2
Tralee Clo V, Ltd. Securitized Asset Fund $372M $250K 1
Wellfleet Clo 2018 1, Ltd. Securitized Asset Fund $371M $250K 2
Wellfleet Clo X, Ltd. Securitized Asset Fund $370M $250K 2
Wellfleet Clo 2017 3, Ltd. Securitized Asset Fund $364M $250K 2
Tralee Clo Vi, Ltd. Securitized Asset Fund $346M $250K 2
Blue Owl Asset Leasing Fund Evergreen Lp Hedge Fund $335M $10.0M 54

Top 25 of 46 funds by gross assets · all funds

From Form ADV Section 7.B private fund reporting.

Documents (1 archived)

FormPeriodSize
Form ADV (full filing) 06/17/2026 25.1 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
  • ADMINISTRATIVE AGENT FEES RELATED TO CERTAIN LOAN POSITIONS

Services

  • Portfolio management for pooled investment vehicles
  • Portfolio management for businesses/institutional clients

Custody

Reported custodians

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: Jun 17, 2026.

View current Form ADV (SEC/IAPD) ↗