Tetragon Financial Management LP
● SEC registered since 2012CRD 156041SEC# 801-74151New York, NY
Ranks #1,470 of 6,004 private fund managers by regulatory AUM.
Reg. AUM
$4.26B
Fund GAV
$4.26B
Private funds
1
Employees
9
Accounts
1
Location
New York, NY
Tetragon Financial Management LP assets under management
Tetragon Financial Management LP is an investment advisory firm registered with the SEC based in New York, NY. The firm has been registered since 2012. It reports $4.3 billion in regulatory assets under management and employs 9 people. Tetragon Financial Management LP manages 1 private fund with combined gross assets of $4.3 billion, including Tetragon Financial Group Limited. By regulatory assets, it ranks 1,470 of 6,004 private fund managers.
Tetragon Financial Management LP private funds
1 funds · $4.26B GAV| Fund | Type | Gross assets | Min. |
|---|---|---|---|
| Tetragon Financial Group Limited | Hedge | $4.26B | — |
Tetragon Financial Management LP owners & executives
19 reported| Name | Title | Ownership | Since |
|---|---|---|---|
| David Charles Wishnow | Principal | Under 5% | 2017 |
| Gregory Nmn Wadsworth Control | Director Of Business Development | Under 5% | 2009 |
| Jeffrey Theodore Herlyn | Principal | Under 5% | 2017 |
See all 19 owners & executives — unlock the full record.
Join to unlock · $37/moFrequently asked questions
How much does Tetragon Financial Management LP manage?
Tetragon Financial Management LP reports $4.3 billion in regulatory assets under management on its Form ADV.
How many private funds does Tetragon Financial Management LP manage?
Tetragon Financial Management LP manages 1 private funds with combined gross assets of $4.3 billion.
How many employees does Tetragon Financial Management LP have?
Tetragon Financial Management LP reports 9 employees.
Where is Tetragon Financial Management LP located?
Tetragon Financial Management LP is based in New York, NY and has been SEC-registered since 2012.
Does Tetragon Financial Management LP disclose fund performance?
Tetragon Financial Management LP is not required to publicly disclose fund returns. Form ADV filings include assets, ownership, and service providers, shown above.
Contact & registration
| Address | 399 Park Avenue, 22nd Floor, New York, NY 10022 |
| Phone | 212-359-7300 |
| Fax | 212-359-7301 |
| Office hours | 9:00 a.m. To 5:00 p.m. |
| SEC region | New York Regional Office (NYRO) |
| Discloses disciplinary history | No |
Regulatory AUM
$4.26B▲ 19%
Mar '25Form ADV, monthlyJun '26
How this firm compares
Regulatory AUMTop 14%
Larger than 86% of 16,271 advisers
AUM vs fund managersTop 24%
Larger than 76% of 6,004 private-fund managers
Number of fundsTop 76%
More funds than 24% of fund managers
EmployeesTop 43%
More than 57% of 16,825 advisers
Assets under management
$4.26Bregulatory AUM
Discretionary $4.26B
Service providers
Auditor
Prime broker
Custodian
Administrator