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EMC Capital Management, LLC

EMC Capital Management, LLC. CRD 167761

E

CRD: 167761

EMC Capital Management, LLC

Houston, TX, 77057
8322310130
$218.9M Total AUM
$218.9M Disc. AUM
-- 3Y CAGR
1 Employees
18 ADV. Clients
13 yrs Firm Age

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Firm Details

Custodian
Charles Schwab & Company ยท Goldman Sachs
Clients
Retail and Institutional
Platforms
--
Established Date
04-01-2013
Office Locations
1

Office Locations

6363 Woodway Drive Suite 763 Houston TX

About EMC Capital Management, LLC

EMC Capital Management, LLC is a Houston-based RIA. The firm has been operating for 13 years. Managing $218.9M in total assets under management, with 1 advisory representatives. They custody assets with Charles Schwab & Company and Goldman Sachs. Services offered include Asset Management, Business Succession, Financial Planning.

Team overview

52 AVG AGE
$218.9M AVG AUM / ADVISOR
$12.2M AVG AUM / CLIENT
13.3 yrs AVG TENURE
1 Employees
1 Advisory Reps
1 RIA Reps
13yrs Firm Age

Insights

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Asset Classes

Capital timber Vertex Crest

Investment Themes

Zenith north Zenith Harbor pathway Value pioneer

Investment Vehicles

Summit fusion

Services

Pathway Focus timber Capital vital Foundation Beacon Capital prime

Owner & Executives

RASOOL NMN SHAIK

RASOOL NMN SHAIK

Advisor, Chief Compliance Officer, FOUNDER, MANAGING PRINCIPAL

CRD
#5560620
Ownership
50% but less than 75%
(790) 644-5015
capital.peak@radialcapital.com
in linkedin.com/in/crest-ridge
A

AJAY JAIN

FOUNDER, Senior Director

CRD
--
Ownership
10% but less than 25%
(696) 711-1823
bridge.ridge@valuecapital.com
in linkedin.com/in/optima-beacon
F

Fusion oak

Harbor atlas

CRD
#40986
Ownership
30.2%
(377) 520-4244
optima.fusion@glaciercapital.com
in linkedin.com/in/pioneer-summit

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Contacts

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Assets Under Management

Total AUM
Discretionary
Non-Discretionary
04-22-2022
07-24-2023
03-12-2024
04-14-2025
03-18-2026
Category Assets AVG. Account size
Discretionary $218,888,113 $12,160,451
Non-Discretionary $0 --
Total $218,888,113 $12,160,451

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Separately Managed Accounts

Total SMA Asset: $146,904,948

$146.9M Total SMA
Equity - Exchange:
100.0%
Asset class Assets Assets %
Equity - Exchange $6,974,411,620 100.0%
Total $6,974,411,620 100.0%

13F Holdings | Q4 2025

Issuer Class Cusip Ticker % Value
QUANTUM NORTH VERTEX MERIDIAN RIDGE 7IDBIWVSH NYV 3.64% $5,182,572
BEACON WAVE PATHWAY TIMBER W15ZLHXDY IMK 6.79% $88,497,759
VITAL INSIGHT BEACON EMBER PIONEER CZO8UL57V YVAML 2.57% $101,145,762
FUSION VECTOR INSIGHT SUMMIT GLACIER R3E9LO1VD UDQE 7.57% $56,664,628
VALUE VALUE SIGNAL ELEMENT CATALYST C14V51FYK MXH 6.96% $114,124,487
WAVE FRONTIER VITAL VALUE VITAL 3ZOG2Q8B5 NEBU 4.57% $95,477,030
HARBOR OPTIMA OAK PRIME 5RGXR7DWB PGN 8.57% $89,681,133
OAK PATHWAY ATLAS LEGACY EAGLE 8R8YUG06F KTGL 0.88% $97,875,716

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