S SQUARED CAPITAL II MANAGEMENT, LLC
CRD #133711 SEC #801-63785 NEW YORK, NY 212-421-2155
SEC Registered Private Funds
Total AUM
$109.7M
Discretionary
$109.7M
Employees
11
Clients
0
Accounts
1
Firm Details
- Organization Type
- Limited Liability Company
- State of Formation
- Delaware
- Fiscal Year End
- DECEMBER
- Registration Date
- --
- Latest Filing
- Mar 29, 2012
- Branch Offices
- --
Advisory Services
No services reported
Compensation Methods
No compensation methods reported
Ownership
Direct Owners & Executive Officers (Schedule A)
| Name | Type | Title / Status | Ownership | Control |
|---|---|---|---|---|
| BIZOZA, BRIAN, MICHAEL | I | ANALYST | NA | |
| BIZOZA, BRIAN, MICHAEL | I | ANALYST | NA | |
| BIZOZA, BRIAN, MICHAEL | I | ANALYST | NA | |
| BIZOZA, BRIAN, MICHAEL | I | ANALYST | NA | |
| BIZOZA, BRIAN, MICHAEL | I | ANALYST | NA | |
| BIZOZA, BRIAN, MICHAEL | I | ANALYST | NA | |
| DANIELS, SCOTT, A | I | ANALYST | NA | |
| DANIELS, SCOTT, A | I | ANALYST | NA | |
| DANIELS, SCOTT, A | I | ANALYST | NA | |
| DANIELS, SCOTT, A | I | ANALYST | NA | |
| DANIELS, SCOTT, A | I | ANALYST | NA | |
| GOLBY, WESLEY, LAWRENCE | I | ANALYST | NA | |
| GOLBY, WESLEY, LAWRENCE | I | PORTFOLIO MANAGER | NA | |
| GOLBY, WESLEY, LAWRENCE | I | PORTFOLIO MANAGER | NA | |
| GOLBY, WESLEY, LAWRENCE | I | PORTFOLIO MANAGER | NA | |
| GOLBY, WESLEY, LAWRENCE | I | ANALYST | NA | |
| GOLBY, WESLEY, LAWRENCE | I | PORTFOLIO MANAGER | NA | |
| GOLBY, WESLEY, LAWRENCE | I | PORTFOLIO MANAGER | NA | |
| GOLBY, WESLEY, LAWRENCE | I | PORTFOLIO MANAGER | NA | Control |
| GOLBY, WESLEY, LAWRENCE | I | PORTFOLIO MANAGER | NA | Control |
| GOLBY, WESLEY, LAWRENCE | I | PORTFOLIO MANAGER | NA | |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | MANAGING MEMBER | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GOLDBLATT, SEYMOUR, LAWRENCE | I | PRESIDENT | NA | Control |
| GRAVITT, JOHN, PAUL | I | ANALYST | NA | |
| GRAVITT, JOHN, PAUL | I | ANALYST | NA | |
| GRAVITT, JOHN, PAUL | I | ANALYST | NA | |
| RI, YI | I | ANALYST | NA | |
| RODE, DONALD, DAVID | I | PORTFOLIO MANAGER | NA | |
| RODE, DONALD, DAVID | I | PORTFOLIO MANAGER | NA | |
| RODE, DONALD, DAVID | I | PORTFOLIO MANAGER | NA | |
| RODE, DONALD, DAVID | I | PORTFOLIO MANAGER | NA | |
| RODE, DONALD, DAVID | I | PORTFOLIO MANAGER | NA | |
| RODE, DONALD, DAVID | I | MEMBER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| RUBIN, SHELDON, K | I | CHIEF OPERATING OFFICER AND CHIEF COMPLIANCE OFFICER | NA | Control |
| SEARLE, SCOTT, WALLACE | I | ANALYST | NA | |
| SEARLE, SCOTT, WALLACE | I | ANALYST | NA | |
| SEARLE, SCOTT, WALLACE | I | ANALYST | NA | |
| SEARLE, SCOTT, WALLACE | I | ANALYST | NA | |
| SEARLE, SCOTT, WALLACE | I | ANALYST | NA | |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER AND CHIEF COMPLIANCE OFFICER (A/O 11/2014) | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
| GOLDBLATT, KENNETH, A | I | MANAGING MEMBER | E | Control |
Registrations
Federal
IA
Mar 29, 2012 REGISTERED
Notice Filings (2)
CA NY
Address
515 MADISON AVENUESUITE 4200
NEW YORK, NY 10022-5474
United States
Phone: 212-421-2155