Key facts
- Laurus Investment Counsel is a hedge fund based in Toronto, Canada.
- Laurus Investment Counsel reports $326.4M in regulatory assets under management, per its SEC Form ADV (2026-03).
About Laurus Investment Counsel
chris.page@lauruscounsel.com
Registered with the SEC
Form ADV · 2026-03 · CRD 317604- Regulatory AUM
- $326.4M
- Private fund assets
- —
- Private funds
- —
- Staff
- 7
- Registered office
- TORONTO
- SEC status
- Approved
Source: SEC Investment Adviser Public Disclosure, Form ADV (registered as LAURUS GLOBAL EQUITY MANAGEMENT INC.).
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Portfolio
Portfolio — not yet on record
No portfolio companies for Laurus Investment Counsel are on record yet. Positions surface from round participations, filings, and coverage.
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Frequently asked
- What is Laurus Investment Counsel's AUM?
- Laurus Investment Counsel manages approximately $326.4M in assets.