Mandate & appetite
- Preferred strategies
- Platform Investment
- Target geographies
- US & Canada
- Typical ticket
- —
- AUM
- $2.3bn
- Real-asset allocation
- RE 100%
- Appetite
- —
Investor profile
Conversant Capital LLC is an investment management firm founded in February 2020 and headquartered in Summit, New Jersey. Led by Founder and Chief Investment Officer Michael J. Simanovsky, the firm operates as a multi-strategy hedge fund and private equity manager, registered with the U.S. Securities and Exchange Commission. Conversant Capital specializes in providing flexible capital solutions in real estate, digital infrastructure, and hospitality sectors, managing approximately $1.9 billion to $2.6 billion in assets. The firm offers a range of financial services tailored to institutional clients, including capital solutions and structuring, portfolio management, credit and equity investing, and strategic advisory. Conversant Capital focuses on both public and private markets, targeting undervalued and special-situation investments. Its client base consists exclusively of institutional investors, such as pension funds and family offices, primarily in developed markets like North America and Europe.
Unlock mandates & allocation signals
See Conversant Capital's active mandates and live allocation signals — plus named decision-makers, unlimited AI capital-matching and CSV export.
- Active mandates (strategy, asset class, geography, ticket, target IRR)
- Live allocation signals, dated and attributed
- Named CIOs & IC members + email & LinkedIn
From $599/mo · 20% off annual
Similar investors
Comparable allocators
Other · $72.9bn AUM
Clarion Partners
New York, United States
Clarion Partners LLC is a global real estate investment manager based in New York City, specializing in high-quality properties across the U.S. and Europe. Founded in 1982, the firm has over 38 years of experience in providing research-driven investment solutions through commingled funds and separate accounts. It manages approximately $56.3 billion in assets across more than 1,275 properties in 82 markets, serving over 400 institutional investors worldwide. The company employs a variety of investment strategies, including core, core-plus, value-add, and opportunistic approaches, focusing on property types such as office, retail, industrial, multifamily residential, and hotels. Clarion Partners emphasizes research and ESG integration, aiming for net-zero emissions by 2050. The firm is led by CEO David Gilbert and promotes a culture of partnership, transparency, and accountability among its employees.
Other · $2.0bn AUM
Capital Solutions
Blue Bell, United States
Capital Solutions is an investment firm specializing in providing equity for real estate opportunities. They have committed approximately $562 million across their real estate portfolio, representing a total value of over $2 billion.
Other
400 Capital Management
New York, United States
Institutional investor Lender. based in New York United States. LP type: other. Asset class focus: Industrial, Industrial & Logistics, Multifamily, Residential. Geographic focus: US & Canada. Active real asset investor
Other
Cantor Fund Management
New York, United States
Cantor Fund Management is a private equity real estate firm based in St. Petersburg, Florida, specializing in the acquisition and turnaround of well-located, high-quality, financially distressed, and underperforming real estate assets across the United States.Established in 1989, the firm targets properties in secondary U.S. markets, aiming to acquire assets at significant discounts to replacement cost, prior debt, prior sale, and peak value. Their strategy focuses on generating consistent income through a 6% annual dividend paid quarterly, with an overall targeted return of 12% to 18% through value creation and repositioning of assets.
Family Office
Convergenta Invest GmbH
Bad Wiessee, Germany
Institutional investor. based in Bad Wiessee Germany. LP type: Family Office. Asset class focus: Fixed Income, Private Equity, Real Estate. Active real asset investor
Wealth Manager
Certis Capital Management
—
Institutional investor. LP type: Asset Manager. Asset class focus: Fixed Income, Hedge Funds, Infrastructure, Private Debt, Private Equity, Technology. Geographic focus: Asia/Pacific (APAC), Europe, Frontier Markets, Middle East, North America. Sectors: hotels, office. Active real asset investor