
Organization · Private Equity
Farol Asset Management, LP
Farol Asset Management, LP is an independent private equity firm based in the United States, focusing on control and non-control investments in lower and middle market companies. Founded in 2011, the firm has a team with over 70 years of combined investment experience.
Overview
What Farol Asset Management, LP does
What Farol Asset Management, LP is
Farol Asset Management, LP is an independent private equity firm based in the United States, focusing on control and non-control investments in lower and middle market companies. Founded in 2011, the firm has a team with over 70 years of combined investment experience.
How it participates in the startup ecosystem
The current public profile supports funder capabilities. Each capability below is shown separately so organization identity and role-specific information do not get conflated.
Operational profile
Organization status and context
Organization status describes the entity itself. Funding and program availability appear within the relevant capability profile.
- Operational status
- Active
- Organization type
- Private Equity
- Founded
- Founded in 2011
- Approximate age
- About 15 years
- Structured capabilities
- Funder
- Last reviewed
- March 3, 2026
Official channels
Find Farol Asset Management, LP elsewhere
Open the official website or a supported primary organization account.
Capability profile
Farol Asset Management, LP as a funder
Investment thesis
Farol Asset Management invests in a diversified portfolio across all industry sectors, primarily pursuing buyout transactions in the lower and middle market in North America. The firm partners with experienced operators and emerging managers.
Focus narrative
Farol Asset Management invests in a diversified portfolio across all industry sectors, primarily pursuing buyout transactions in the lower and middle market in North America. The firm engages in various transaction types, including buyouts, growth equity, carve-outs, take-privates, and special situations. Farol typically invests between $5-30 million in equity capital per transaction, focusing on niche companies that are market leaders with strong cash flow characteristics.
Terms and economics
- Typical check
- $5,000,000–$30,000,000
Focus and fit
- Stages
- Growth Equity · Pre-IPO
- Regions
- North America
Availability
- Currently deploying
- Yes
Portfolio and track record
- Recorded portfolio count
- 15
Portfolio context
Notable portfolio companies include Museum of Illusions, Behavior Frontiers, CRS OneSource, Guardian Fire Protection, Wolf Gordon, PAK Quality Foods, Liverpool Football Club, BrightView, Reveal Brainspace, Ministry Brands, Lignetics, Primo Brands, Pole Star Global, Total Access Urgent Care, PolyShield, and AVANTech.
Connected ecosystem
Continue from Farol Asset Management, LP
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Same organization type
Structured regional focus
Common questions
What to know about Farol Asset Management, LP
Upseed classifies Farol Asset Management, LP under the Private Equity organization type. Its current public profile includes funder capabilities.
Source and update disclosure
Know what this page is based on
Source basis
Public organization and program material, official websites, and structured Upseed records.
Last reviewed
March 3, 2026
Known limits
Capability profiles appear only when a structured public profile also contains decision-useful role evidence. Terms and availability can change.
Upseed is an independent guide. It is not affiliated with or endorsed by the organization described on this page.