The Preqin Private Equitys Fund Manager Data set provides a view of all Fund Managers that Preqin currently tracks as active in this asset class. It also shows their Funds and the historic performance data for these funds (monthly returns and AUM). This data set contains more than 200 data points covering several thousand Fund Managers who are currently known to be active in Private Equitys.
Applicable Industries for Data Product Usage
This data will be of interest for anyone interested in tracking capital flows in Private Equitys
Use Cases
This data can be used for a variety of uses, including:
Reporting and MI
Fundraising and prospecting
Market analysis
Direct ingestion in a CRM
Metadata
Description
Value
Update Frequency
Daily
Data Source(s)
Preqin Pro
Original Publisher of data
Preqin
Geographic coverage
Global
Data Set(s) Format(s)
.CSV
Key Words
Fund Manager, GP, Fund, Historic Performance, Private Equitys
Data points
The full data set contains over 200 points, including (but not limited to the below).
Fund Manager:
Field
Description
FIRM ID
Unique firm identifier
CURRENCY
Currency the firm operates in
FIRM NAME
Name of firm
CITY
City firm's main office is based
COUNTRY
Country firm's main office is based in
REGION
Region firm's main office is based in
ADDRESS
Address lines 1 and 2
STATE/COUNTY
State or county of the firm's main office
ZIP CODE
Zip code/post code of the firm's main office
WEBSITE
Website of the firm
FIRM TYPE
Type of firm
YEAR EST
Year firm was established
ABOUT
About description of the firm
AUM (CURR MN)
Assets under management in local currency in millions
AUM (USD MN)
Assets under management in USD Currency in millions
AUM (EUR MN)
Assets under management in EUR Currency in millions
ESG TRANSPARENCY
Fund Manager ESG Transperancy rating. Derived by ESG Core Data Disclosed divided by Total ESG Core data points
Fund:
Field
Description
FUND ID
Unique fund identifier
FIRM ID
Unique identifier of the fund manager/general partner
NAME
Name of fund
VINTAGE YEAR
The fund's first year of investment/capital call
ASSET CLASS
Asset class(es) the fund operates in
STRATEGY
Strategy of the fund
PRIMARY GEOGRAPHIC FOCUS
The main/primary geographic scope of the fund
COUNTRIES
Countries that the fund will invest in
REGIONS
Geographic/economic regions that the fund will invest in
STATUS
The funds current status in its lifecycle
FUND SIZE (USD)
The fund size, denominated/converted to US dollars
FUND MANAGER
Name of fund manager/general partner
FUND STRUCTURE
The structure of the fund
DOMICILE
Location the fund is domiciled in
Fund Performance (Historic Returns):
Field
Description
FUND ID
Unique fund identifier
AS AT DATE
The date to which the performance statistic is measured.
CALLED (%)
The proportion of the LP’s aggregate commitments to the partnership that have been contributed to the partnership.
DPI (%)
The proportion of the called up capital that has been distributed or returned back to LPs.
RVPI (%)
The value of the LPs’ remaining interest in the partnership, as derived from the GP’s valuation of the unrealized portfolio and its allocation of this to the LP.
NET MULTIPLE (X)
The ratio between the total value that the LP has derived from its interest in the partnership - i.e. distributed cash and securities plus the value of the LP’s remaining interest in the partnership – and its total cash investment in the partnership, expressed as a multiple.
NET IRR (%)
The net IRR earned by an LP to date after fees & carry.
Pricing is in line with access to Preqin’s data via our Pro interface. Please submit a subscription request and we will provide tailor a quote for you for access to the data.
Existing Preqin Customers
Pricing for existing Preqin customers can be worked into existing subscriptions. Please submit subscription request and your Account Manager will be in touch to arrange access to the data
Need Help?
If you have questions about our products, contact us using the support information below:
datadelivery@preqin.com
About Your Company
Preqin provides the industry’s most comprehensive Private Capital and Hedge Fund datasets and tools. Alternative assets professionals rely on it to make data-driven decisions throughout the entire investment lifecycle.
Since 2003, Preqin has forged direct relationships with alternative assets professionals to ensure our data adds context, clarity, and conviction to decision-making.
Today, over 110,000 fund managers, investors, placement agents, service providers, advisors, and other industry professionals from more than 34,000 firms worldwide are empowered with information that underpins their daily workflow.
We believe that the flow of information is critical to development of the industry, a value shared by our customers and partners who help us create a better, more transparent ecosystem across opaque markets.
Our data includes investors, funds, fundraising, performance, fund managers, deals & exits, service providers, and more.
AWS Marketplace now accepts line of credit payments through the PNC Vendor Finance program. This program is available to select AWS customers in the US, excluding NV, NC, ND, TN, & VT.
This listing uses a single pricing dimension: Product Access, measured in units. It is offered at no cost, so you are not charged based on usage volume or a commitment term. The unit simply grants subscribers access to the product. There are no tiers, instance sizes, or add-ons to compare. You gain entry to private equity investor datasets, analytics, and tools covering investors, funds, fund performance, portfolio companies, and fund managers. Because pricing is free with one flat access dimension, there is nothing that scales up or down with your usage.
Top-of-mind questions for buyers
What does one unit of Product Access grant me?
One unit grants a subscriber access to the product. It is the single dimension that unlocks the private equity investor datasets, analytics, and tools. Because the listing is free, adding units does not create charges. The unit simply enables entry rather than metering usage volume or data consumed.
Does my cost change if my team uses the product more heavily?
No. There is one flat access dimension offered at no cost. Charges do not accrue based on searches run, data pulled, or reports generated. Nothing scales up or down with usage volume, so heavier use by your team does not trigger any additional charge.
What private equity data and tools does access include?
Access covers private equity investor profiles, fund data, fund performance metrics, portfolio companies, deals and exits, and fund manager profiles. You also get analytics and search tools across these datasets. Coverage spans investors, funds, and service providers within the private equity asset class.
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