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AGP LP 519 Alpha Group Capital Paul Barrett
5. MANAGEMENT
The General Partner and the Investment Manager
The General Partner of the Partnership is Alkeon Capital Advisers, LLC, and the Investment
Manager of the Partnership is Alkeon Capital Management, LLC. The Investment Manager, together with
Alkeon Capital Offshore, LLC, an affiliate of the Investment Manager, serve as co-investment managers of
the Master Fund and the Offshore Feeder. Mr. Sparaggis, the controlling person and Chief Investment
Officer of the Investment Manager and the controlling person of the General Partner, serves as the
Partnership's principal Portfolio Manager and as the lead member of the Investment Manager's investment
team. Other members of the investment team assist Mr. Sparaggis in his role as the Partnership's Portfolio
Manager. Information about Mr. Sparaggis is provided below.
Panayotis ("Takis") Sparaggis
Mr. Sparaggis serves as the principal Portfolio Manager of the Partnership. Mr. Sparaggis is also
the controlling person and Chief Investment Officer of the Investment Manager and serves as the lead
member of the Investment Manager's investment team. From May 1995 until January 2002 when he
formed the Investment Manager, Mr. Sparaggis was associated with CIBC World Market Corp. ("CIBC
WM") and its predecessor, Oppenheimer & Co., Inc., where he was a Managing Director. From January
1996 to December 2001, Mr. Sparaggis also was a Senior Portfolio Manager for Oppenheimer Investment
Advisers ("OIA"), an investment management program offered by CIBC WM, and was responsible for OIA's
MidCap Managed Account Portfolios. In addition, since December 1997, Mr. Sparaggis has served as the
portfolio manager of various investment funds on behalf of Oppenheimer Asset Management Inc. and other
affiliated entities and continues to serve in such capacity. From 1993 until joining Oppenheimer & Co., Inc.,
Mr. Sparaggis was with Credit Suisse First Boston Investment Management and was responsible for
security analysis and portfolio management for domestic investments, including proprietary trading on
long-short equities and convertible arbitrage.
Mr. Sparaggis received a Masters in Business Administration and Ph.D. in Electrical and Computer
Engineering in 1993 and 1994, respectively, from the University of Massachusetts. He received an IBM
Fellowship in physical sciences in 1992 and 1993. He received a Masters in Electrical and Computer
Engineering from the University of Massachusetts in 1990 and a Bachelor of Science degree in Electrical
Engineering and Computer Science from the National Technical University of Athens in 1988.
Mr. Sparaggis and members of the Investment Manager's investment and trading team carry on
substantial investment activities for advised accounts other than the Partnership and serve as portfolio
managers or in similar capacities for other investment funds with investment programs similar to that of the
Partnership.
6. MANAGEMENT FEE; EXPENSES
Management Fee
The Investment Manager shall be paid a monthly management fee (the "Management Fee")
computed at an annual rate of (i) 2.0% of each Limited Partner's capital account with respect to Series One
Interests, rin 1.5% of each Limited Partner's capital account with respect to Series Two Interests, and (ii)
1.25% of each Limited Partners capital account with respect to Series Three Interests and Series Four
Interests. The Management Fee shall be paid generally within 45 days after the first day of each month
based on the value of each Limited Partner's capital account as of the first day of such month. The
Management Fee shall be prorated for periods of less than a full month. If an additional contribution is
made during a month, the Management Fee will be prorated and charged at the time of such contribution.
The Investment Manager, in its sole discretion, may, in effect, waive or reduce the Management Fee for
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CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0068626
CONFIDENTIAL SDNY_GM_00214810
EFTA01374097
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