Aston Capital Management

SEC-regulated
Registered investment advisor
Aston Capital Management is a registered investment advisor located in Florida, established in 2015. The firm specializes in managing private funds and advising high net worth individuals on discretionary and non-discretionary basis. They offer tailored advisory services based on clients' investment objectives and strategies. Aston does not participate in Wrap Fee programs and had assets under management of $553,848,145 as of December 31, 2024. The firm charges a flat rate between 0.3% and 0.5% annually for Fund Clients, with an additional performance fee of up to 10%. For Individual Clients, fees are determined on a client-by-client basis, with an annual fee of 0.3% plus 10% over SOFR + Hurdle, subject to a minimum annual fee of $12,000. Aston exercises investment discretion for Fund Clients but not for all Individual Clients. The firm operates with a fiduciary duty to clients and mitigates conflicts of interest related to performance-based fees. The investment strategies include a diversified, low correlated portfolio of funds and/or accounts managed by other investment managers. Aston's principals have additional affiliations with Bridgeloan Investors Inc., H2A Capital, Bridgeinvest, and Sharpen LLC. The firm's partners include Luis Vicente d’Amato, Eduardo Brenner, Raphael Ades, Ralph Horn, and Joseph Horn. Luis d’Amato serves as the Chief Executive, Chief Investment, and Chief Compliance Officer. Eduardo Brenner became a partner in 2023 with voting powers. The firm's brochure supplements provide detailed information about the educational background, business experience, disciplinary information, other business activities, additional compensation, supervision, and requirements for state registered advisors for key personnel like Luis Vicente d’Amato, Rogerio de Carvalho Jr., Ralph Horn, and Raphael Ades. Aston Capital Management's Privacy Policy ensures the protection and confidentiality of clients' personal information, detailing the collection, sharing, and protection of personal data. The firm does not sell personal information and maintains security measures to safeguard client data. Clients have the right to limit sharing of personal information and can request a copy of the Privacy Policy annually.
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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