Sentinel Dome Partners, LLC

SEC-regulated
Registered investment advisor
**Sentinel Dome Partners, LLC Summary:** Established in February 2014, Sentinel Dome Partners, LLC, based in Burlingame, CA, specializes in providing discretionary investment advice to pooled investment vehicles and managed accounts. The firm's principal owner and Chief Investment Officer is Q. Munir ul Alam. The firm's investment strategy focuses on event-driven strategies, investing in marketable securities across the capital structure. Sentinel Dome manages various funds, including the Flagship Funds and the Special Situations Fund, as well as acting as a sub-adviser for managed accounts. The firm's assets under management totaled $1,256,418,750 as of December 31, 2024. **Fees and Compensation:** - Management fees range from 1% to 1.5% per annum for the Funds, with incentive allocations of 15% to 20% based on net profits. - Managed accounts are subject to individually negotiated fee arrangements. - Expenses are allocated to the Funds and managed accounts as detailed in the Fund Operative Documents and Sub-Advisory Agreements. **Investment Discretion:** - Sentinel Dome has full discretionary authority over the Funds and managed accounts, allowing the firm to make purchase and sale decisions without client-imposed restrictions. - The firm's investment strategy involves concentrated event-driven strategies across various securities. **Brokerage Practices:** - Sentinel Dome has discretion in selecting brokers and dealers, aiming to seek best execution for portfolio transactions. - The firm may utilize soft dollar arrangements within the parameters of Section 28(e) of the Securities Exchange Act of 1934. **Proxy Voting and Custody:** - Sentinel Dome votes proxies in the best interest of clients and maintains custody over certain Funds' assets. - The firm's investment team regularly reviews client accounts and performs continuous research on positions. **Regulatory Compliance and Financial Information:** - Sentinel Dome has no legal or disciplinary information to disclose and does not require prepayment of fees longer than six months in advance. - The firm ensures compliance with regulatory requirements, including proxy voting rules and custody regulations. For more detailed information, clients can contact Sentinel Dome's Chief Compliance Officer at 415-636-9250 or [email protected].
This firm is a Regulated Investment Advisor
Fiduciary duty to act in the best interests of your finances
Regulated by The Securities and Exchange Commission (SEC)
Transparent about fees and never take commission when recommending a financial product
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