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Broadband Venture Partners is a Dallas, TX-based company in the Financial Services sector.
Roch Capital Inc. (“Roch”) is a privately held capital management firm that invests in quality assets to be held over the long term. Roch focuses on a wide variety of asset classes, but targets high quality, performing real estate and fundamentally strong middle market companies. Portfolio companies include Applied Bank, Applied Card Systems, Inc. (“ACS”) and Carbon`s® Golden Malted® Waffles. Our strong capital position and dedicated team of in-house professionals enables speed and certainty of execution. REAL ESTATE: Roch invests in diversified real estate opportunities, including hospitality, office, retail, flex/industrial, multifamily, manufactured home and recreational vehicle communities, student housing, mixed-use, single tenant net lease properties and corporate sale leasebacks. PRIVATE EQUITY: Roch makes control investments in market leading, fundamentally sound middle market businesses that demonstrate sustainable competitive advantage and present a compelling value proposition. CREDIT CARD PROCESSING AND MERCHANT SERVICING: ACS provides credit card processing and servicing solutions. In addition, ACS also delivers customer service, IT and collections support services, as well as merchant servicing solutions. Support for ACS is provided through affiliated operations in Glen Mills, PA. CONSUMER AND COMMERCIAL BANKING: Applied Bank, headquartered in Wilmington, Delaware, is a Delaware state chartered bank and an FDIC insured, Equal Housing Lender, providing personal and commercial banking services, as well as payment solutions to merchants.
Investment Funds Institute of Canada is a Mississauga, ON-based company in the Financial Services sector.
Ampersand Associates is a Atlanta, GA-based company in the Financial Services sector.
Hunting Hill`s investment strategy seeks to capitalize on market structure-related arbitrage opportunities, trading globally in ETFs, stocks, bonds, derivatives, and other financial instruments. The opportunity set tends to be most attractive during periods of sustained, elevated volatility, significant shifts in global fund flows, and in the wake of significant idiosyncratic events – macroeconomic shocks, monetary/fiscal policy decisions, regulatory activity, corporate actions, or other sources of market uncertainty. The Firm combines its distinctive strategy, proprietary process, and experienced leadership to deliver attractive risk and performance characteristics, not otherwise easily accessible to hedge fund investors.