Sageview Capital LP manages investments for private investment funds, aiming for attractive risk-adjusted returns by investing in privately owned, lower middle market companies. Sageview manages two families of private funds referred to as “Sageview Fund II”, and “Sageview Fund III” each of which invests or will invest in a long-term, concentrated portfolio consisting primarily of private investments and/or domestic and international stocks. The firm's investment decisions are based on internal research and analysis.
Sageview Capital manages investments for private funds and charges a management fee. The private funds generally incur an annual management fee of 2.0% based upon the private fund’s committed capital during the investment period and thereafter based upon actively invested capital. Sageview charges management fees quarterly in advance at the beginning of each quarter and these fees are generally prorated by Sageview for any period that is less than a full quarter.