AUMdb

Sciens Diversified Managers Llc

SEC-registered Investment Adviser CRD 299996 · SEC file 802-136802 · New York, NY · www.linkedin.com
☆ Save with Pro ADV data as of Jun 22, 2026
Regulatory AUM
Discretionary
Clients
Avg AUM / client
Accounts
Employees

AUM over time

$235M $1.1B
May 17, 2021 Apr 13, 2026

Reported AUM from Form ADV filings, plotted by filing date · as of Jun 22, 2026

Private funds (34)

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Reported in Form ADV Section 7.B.(1), filing of Dec 2024 · $848M combined gross assets

FundTypeDomicileGross assetsOwners
Sciens Water Opportunities Domestic Fund Lp Private Equity Fund Delaware $205M 75
Sciens Water Opportunities Segregated Fund I, A Sub Fund Of Sgas Icav Private Equity Fund Ireland $106M 1
Swof Cswr Spv Llc Private Equity Fund Delaware $71.2M 5
Sciens Water Opportunities Fund Ii Segregated Lp Private Equity Fund Delaware $65.6M 8
Sciens Water Opportunities Cayman Fund Lp Private Equity Fund Cayman Islands $45.9M 10
Sciens Water Treatment Partners Lp Private Equity Fund Delaware $38.0M 15
Sciens Water Opportunities Fund Iv Segregated Lp Private Equity Fund Delaware $38.0M 3
Sciens Water Opportunities Spv Segregated Lp Private Equity Fund Delaware $37.0M 1
Sciens Strategic Capital Offshore Fund Spc 2019 Sp Private Equity Fund Cayman Islands $35.0M 2
Sciens Water Opportunities Fund V Segregated Lp Private Equity Fund Delaware $34.8M 1
Sciens Water Opportunities Icav Private Equity Fund Ireland $33.3M 5
Sciens Strategic Capital Offshore Fund Spc 2018 Sp Private Equity Fund Cayman Islands $30.3M 2
Sciens Water Opportunities Fund Iii Segregated Lp Private Equity Fund Delaware $19.9M 19
2015 Segregated Portfolio, A Segregated Portfolio Of Sciens Real Assets Offshore Fund Spc Private Equity Fund Cayman Islands $16.7M 3
Secondary Opportunities Fund Sp Class A, A Segregated Portfolio Of Sciens Global Strategies Fund Spc Private Equity Fund Cayman Islands $9.9M 3

People (4)

NameRole / titleCredentialsWith firm sinceOwnership
Loukopoulos, Alexandros Partner Dec 2020 (6y) Less than 5%
Rigas, Ioannis, "John" Ceo; Sole Shareholder Dec 2020 (6y) 75% or more
Standen, Daniel, James Partner Dec 2020 (6y) Less than 5%
Pinzino, Lindsay Chief Compliance Officer Aug 2021 (5y) 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 (34, $848M gross assets)

FundTypeGross assetsMin. investmentOwners
Sciens Water Opportunities Domestic Fund Lp Private Equity Fund $205M $5.0M 75
Sciens Water Opportunities Segregated Fund I, A Sub Fund Of Sgas Icav Private Equity Fund $106M $40.0M 1
Swof Cswr Spv Llc Private Equity Fund $71.2M $5.0M 5
Sciens Water Opportunities Fund Ii Segregated Lp Private Equity Fund $65.6M $100K 8
Sciens Water Opportunities Cayman Fund Lp Private Equity Fund $45.9M $100K 10
Sciens Water Treatment Partners Lp Private Equity Fund $38.0M $100K 15
Sciens Water Opportunities Fund Iv Segregated Lp Private Equity Fund $38.0M $5.0M 3
Sciens Water Opportunities Spv Segregated Lp Private Equity Fund $37.0M $5.0M 1
Sciens Strategic Capital Offshore Fund Spc 2019 Sp Private Equity Fund $35.0M $1.0M 2
Sciens Water Opportunities Fund V Segregated Lp Private Equity Fund $34.8M $5.0M 1
Sciens Water Opportunities Icav Private Equity Fund $33.3M $100K 5
Sciens Strategic Capital Offshore Fund Spc 2018 Sp Private Equity Fund $30.3M $1.0M 2
Sciens Water Opportunities Fund Iii Segregated Lp Private Equity Fund $19.9M $100K 19
2015 Segregated Portfolio, A Segregated Portfolio Of Sciens Real Assets Offshore Fund Spc Private Equity Fund $16.7M $250K 3
Secondary Opportunities Fund Sp Class A, A Segregated Portfolio Of Sciens Global Strategies Fund Spc Private Equity Fund $9.9M $1.0M 3
Secondary Opportunities Fund Sp Class B, A Segregated Portfolio Of Sciens Global Strategies Fund Spc Private Equity Fund $9.4M $1.0M 1
2019 Segregated Portfolio, A Segregated Portfolio Of Sciens Real Assets Offshore Fund Spc Private Equity Fund $8.0M $250K 2
2015 Gsmi September Investment Segregated Portfolio, A Segregated Portfolio Of Sciens Real Assets Offshore Fund Spc Private Equity Fund $5.7M $150K 2
2013 Segregated Portfolio, A Segregated Portfolio Of Sciens Real Assets Offshore Fund Spc Private Equity Fund $5.5M $150K 9
Sciens Strategic Capital Offshore Fund Spc 2017 Sp Private Equity Fund $5.4M $1.0M 7
Secondary Opportunities Fund Ii Sp, A Segregated Portfolio Of Sciens Global Strategies Fund Spc Private Equity Fund $5.0M $250K 4
2017 Segregated Portfolio, A Segregated Portfolio Of Sciens Real Assets Offshore Fund Spc Private Equity Fund $4.8M $250K 1
2017 Segregated Portfolio Sasof Iv, A Segregated Portfolio, A Segregated Portfolio Of Sciens Real Assets Offshore Fund Spc Private Equity Fund $3.7M $250K 3
2020 Segregated Portfolio, A Segregated Portfolio Of Sciens Real Assets Offshore Fund Spc Private Equity Fund $3.5M $250K 1
Sciens Aviation Holdings Iv L.P. Private Equity Fund $2.8M $1.0M 5

Top 25 of 34 funds by gross assets · all funds

From Form ADV Section 7.B private fund reporting.

Documents (1 archived)

FormPeriodSize
Form ADV (full filing) 06/22/2026 4.63 MB View · PDF · Source ↗

Archived copies of the firm's regulatory filings, versioned by content hash.

Disciplinary disclosures

Regulatory as of Dec 16, 2024

Allegations: THE ADMINISTRATIVE ORDER FINDS INSUFFICIENT THE WRITTEN VALUATION POLICY IN THE COMPLIANCE MANUAL OF THE ADVISER AND SCIENS INVESTMENT MANAGMENT LLC ("SIM"), THE ADVISER'S PREDECESSOR ENTITY. THE MATTER INVOLVES ALLEGATIONS BY THE SEC REGARDING THE FAILURE OF SIM AND THE ADVISER TO ADOPT AND IMPLEMENT REASONABLY DESIGNED WRITTEN POLICIES AND PROCEDURES FOR VALUATION OF PRIVATE EQUITY FUND PORTFOLIO INVESTMENTS. Status: Final Sanction Detail: A FINE OF $275,000 WAS PAID ON JUNE 1, 2023. Summary: THE ADMINISTRATIVE ORDER FINDS INSUFFICIENT THE WRITTEN VALUATION POLICY IN THE COMPLIANCE MANUAL OF THE ADVISER AND SCIENS INVESTMENT MANAGMENT LLC ("SIM"), THE ADVISER'S PREDECESSOR ENTITY. THE MATTER INVOLVES ALLEGATIONS BY THE SEC REGARDING THE FAILURE OF SIM AND THE ADVISER TO ADOPT AND IMPLEMENT REASONABLY DESIGNED WRITTEN POLICIES AND PROCEDURES FOR VALUATION OF PRIVATE EQUITY FUND PORTFOLIO INVESTMENTS.

Disclosure text reproduced verbatim from the firm's own Form ADV filings.

How they charge

Not reported.

Custody

Firm reports it does not have 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: Jun 22, 2026.

View current Form ADV (SEC/IAPD) ↗