Hedge Fund - Arbiter Partners Capital Management

Paul J. Isaac Bio, Returns, AUM, Net Worth

Originally established as Fort Hoosac Management and later rebranded as Arbiter Partners Capital Management, this hedge fund manager is situated in New York. It was founded by Paul Isaac in the year 2001. Since its inception, Arbiter Partners Capital Management has been actively involved in the financial landscape, navigating the complexities of the market with a focus on strategic investment management. With Paul Isaac at the helm, the firm has demonstrated a commitment to delivering investment expertise and value to its stakeholders.

Paul J. Isaac currently holds the positions of President, Chief Investment Officer, and Managing Member at Arbiter Partners Capital Management LLC. In addition, he serves as a Principal at Miller Investment Management LP and as a Trustee and Treasurer at P.E.F. Israel Endowment Funds., Inc. His active involvement extends to the Board of Directors at American Jewish Historical Society, Irex Corp., and P.E.F. Israel Endowment Funds., Inc. With a diverse professional background, Mr. Isaac has contributed his expertise in various roles, including serving as an Independent Director for Capital Senior Living Corp., Chief Investment Officer at Cadogan Management LLC, Principal at Allied International Corp., Chief Economist at Mabon Securities Corp., Partner at Mabon, Nugent & Co., and Analyst at SC Fund Management LLC. Additionally, he served on the board of Mood Media Corp. Mr. Isaac's academic achievements include earning a BA with Highest Honors in Political Economy from Williams College.

Arbiter Partners Capital Management oversees discretionary assets totaling $734.2 million according to the Form ADV filed on May 2023. Their most recent 13F filing for Q3 2023 disclosed $78.2 million in managed 13F securities, revealing a top 10 holdings concentration of 60.1%.

Paul J. Isaac
Fund Profile
Filing Period:
Fund Name: Arbiter Partners Capital Management
Manager Paul J. Isaac
Portfolio Value $87,856,116
Change This QTR +1.12%
Fund Holdings Sector Distribution
Filing Period:
Last update:
No. Security Ticker Shares Value Activity % Port History
1. GEF,GEF.B 199,063 $13,140,149 14.95%
2. TSLA 32,400 $8,050,752 +114% 9.16%
3. DLR 59,500 $8,007,510 +142% 9.11%
4. SNDA 508,788 $6,359,850 -1% 7.23%
5. STXS 2,755,693 $4,822,463 +3% 5.48%
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