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Clarity Capital Kcps LTD

Clarity Capital Kcps LTD. CRD 160662

C

CRD: 160662

Clarity Capital Kcps LTD

Ramat-GAN, 52506
972-3-777-9000
$782.3M Total AUM
$770.9M Disc. AUM
14.3% 3Y CAGR
18 Employees
194 ADV. Clients
18 yrs Firm Age

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Firm Details

Custodian
Capital Group · JP Morgan · Pershing
Clients
Retail and Institutional
Platforms
--
Established Date
10-01-2007
Office Locations
1

Office Locations

Sasson Hogi Tower, 20th Floor 12 ABA Hillel Road Ramat-GAN --

About Clarity Capital Kcps LTD

Clarity Capital KCPS Ltd is a cross-border wealth manager and asset manager with offices in Tel Aviv and New York. The firm runs a range of investment strategies and offers Clarity Capital Funds, building portfolios across public funds, fixed income and select alternatives (e.g., private credit, real estate, infrastructure). Serves both retail and institutional clients, with regulatory supervision including the SEC and Israel Securities Authority (AMF Quebec also referenced).

Team overview

-- AVG AGE
$130.4M AVG AUM / ADVISOR
$4.0M AVG AUM / CLIENT
8.1 yrs AVG TENURE
18 Employees
6 Advisory Reps
0 RIA Reps
18yrs Firm Age

Insights

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Asset Classes

Quantum Beacon frontier Alpha prime Pathway Ember quantum

Client Personas

Legacy ember

Investment Themes

Capital Atlas

Investment Vehicles

Peak

Services

Vertex Ember

Owner & Executives

J

JOHAN ERROL ABRAHAM KADOCHE

DIRECTOR

CRD
--
Ownership
50% but less than 75%
(886) 331-6611
bridge.legacy@fusioncapital.com
in linkedin.com/in/vector-legacy
E

ERAN PELEG

Chairman

CRD
--
Ownership
10% but less than 25%
(294) 421-7869
element.vital@primecapital.com
in linkedin.com/in/ridge-atlas
V

Vital vertex

Signal ember

CRD
#70666
Ownership
5.8%
(242) 251-8290
capital.pioneer@pathwaycapital.com
in linkedin.com/in/atlas-eagle

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Contacts

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Assets Under Management

Total AUM
Discretionary
Non-Discretionary
08-02-2022
03-31-2023
06-06-2024
03-31-2025
03-31-2026
Category Assets AVG. Account size
Discretionary $770,853,080 $4,035,880
Non-Discretionary $11,481,743 $3,827,248
Total $782,334,823 $4,032,654

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Separately Managed Accounts

Total SMA Asset: $782,334,823

$782.3M Total SMA
Public Funds:
18.8%
Corporate - Investment Grade:
8.3%
Private Funds:
8.8%
Cash:
13.8%
Equity - Exchange:
8.6%
Sovereign Bonds:
16.3%
U.S. Government/Agency:
11.5%
Other:
13.9%
Asset class Assets Assets %
Public Funds $311,507,377 18.8%
Corporate - Investment Grade $137,527,193 8.3%
Private Funds $145,811,964 8.8%
Cash $228,659,670 13.8%
Equity - Exchange $142,498,055 8.6%
Sovereign Bonds $270,083,524 16.3%
U.S. Government/Agency $190,549,725 11.5%
Other $230,316,625 13.9%
Total $1,656,954,133 100.0%

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