Profile
Gregory Scott Horn is the founder of AlphaHedge Capital Partners LLC, founded in 2012, where the title held is Chief Executive Officer.
Mr. Horn was the founder of Persimmon Capital Management LP, founded in 1998, where the title held was Managing Partner & President.
Current jobs include President, Managing Director & General Partner at Persimmon Growth Partners Fund LP since 2010 and Director at Save More.
Super Market, Inc. Former jobs include Chief Executive Officer at PNC Managed Investments, Inc. from 2005 to 2006; Chief Executive Officer at Persimmon Research Partners, Inc.; Vice President at Mellon Bank, NA; President at Persimmon Growth Partners Investor Fund; President at Ashbridge Investment Management LLC; Vice President at Standard Chartered International (USA) LLC; and Chief Development Officer at Dakota Wealth LLC from 2021 to 2025.
Education includes undergraduate and MBAistration degrees from the University of Wisconsin.
Gregory Horn active positions
| Companies | Position | Start |
|---|---|---|
Persimmon Growth Partners Fund LP
Persimmon Growth Partners Fund LP Investment Trusts/Mutual FundsMiscellaneous Acts as Closed-End Investment Fund/Investment Trust | President | 26/08/2010 |
Save More Super Market, Inc.
Save More Super Market, Inc. Food DistributorsDistribution Services Save More Super Market is a grocery store and supermarket chain. It offers a variety of brand-name and private-label grocery items at discounted prices. The company is based in New Orleans, LA. | Director/Board Member | 26/08/2010 |
AlphaHedge Capital Partners LLC
AlphaHedge Capital Partners LLC Investment ManagersFinance Provides investment advice | Chief Executive Officer | 05/03/2012 |
Former positions of Gregory Horn
| Companies | Position | End |
|---|---|---|
Dakota Wealth LLC
Dakota Wealth LLC Investment ManagersFinance DWM uses a process that includes the inputs of valuation and fundamental analysis, along with a rules-based overlay incorporating technical analysis that helps inform their decision making. They then apply this process in the form of different types of investment offerings: equities, fixed income, ETFs, asset allocation and options. The firm utilizes both actively and passively managed mutual funds in an asset allocation framework to provide client portfolios with a diversified exposure to the broader capital markets. | Portfolio Manager-Equities | 01/06/2025 |
PNC Managed Investments, Inc.
PNC Managed Investments, Inc. Investment ManagersFinance PNC Managed Investments offers managed investment programs including fixed and flexible UMAs, mutual fund wrap/ETF wrap programs and separately managed accounts. They design and implement open-architecture investment solutions for broker/dealers, banks, insurance companies, investment advisors and asset managers. The firm constructs active asset allocation strategies based on each client's time horizons, investmetn objectives and risk tolerance. Their investment process centers on diversification, a long-term focus, a contrarian approach and prudent aggression. PNC uses diversification to limit extreme short-term fluctuations and portfolio volatility. They seek to reduce risk and volatility by allocating assets across a variety of different, less correlated asset classes and across investment products with different management styles. They also use diversification to provide continual exposure to outperforming investments as asset classes and styles move in and out of favor. The firm takes a long-term investment approach which affords greater risk tolerance and the opportunity for assets to grow through compounding. They are not overly concerned with short-term market results. PNC takes a contrarian approach to asset class valuations to reduce the risk of buying at a cycle's peak only to be undercut by the inevitable correction. PNC believes that inflation rather than volatility poses the greatest threat to purchasing power and financial security. Their approach is based on taking prudent risk and managing it when possible. | President | 01/01/2006 |
Persimmon Capital Management LP
Persimmon Capital Management LP Investment ManagersFinance PCM aims to preserve and increase wealth for their clients through the structured management of risk using non-traditional investment opportunities such as hedge funds, private equity and debt funds, and direct investments in private real estate and operating companies. The firm strongly believes in non-correlated assets that provide return streams agnostic of traditional equities or bond markets. | Chief Executive Officer | - |
Persimmon Growth Partners Investor Fund
Persimmon Growth Partners Investor Fund Investment Trusts/Mutual FundsMiscellaneous Acts as Closed-End Investment Fund/Investment Trust | President | - |
Standard Chartered International (USA) LLC
Standard Chartered International (USA) LLC Major BanksFinance International commercial bank | Corporate Officer/Principal | - |
Training of Gregory Horn
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 12 |
|---|---|
Mellon Bank, NA
Mellon Bank, NA Regional BanksFinance Provides commercial banking services | Finance |
PNC Managed Investments, Inc.
PNC Managed Investments, Inc. Investment ManagersFinance PNC Managed Investments offers managed investment programs including fixed and flexible UMAs, mutual fund wrap/ETF wrap programs and separately managed accounts. They design and implement open-architecture investment solutions for broker/dealers, banks, insurance companies, investment advisors and asset managers. The firm constructs active asset allocation strategies based on each client's time horizons, investmetn objectives and risk tolerance. Their investment process centers on diversification, a long-term focus, a contrarian approach and prudent aggression. PNC uses diversification to limit extreme short-term fluctuations and portfolio volatility. They seek to reduce risk and volatility by allocating assets across a variety of different, less correlated asset classes and across investment products with different management styles. They also use diversification to provide continual exposure to outperforming investments as asset classes and styles move in and out of favor. The firm takes a long-term investment approach which affords greater risk tolerance and the opportunity for assets to grow through compounding. They are not overly concerned with short-term market results. PNC takes a contrarian approach to asset class valuations to reduce the risk of buying at a cycle's peak only to be undercut by the inevitable correction. PNC believes that inflation rather than volatility poses the greatest threat to purchasing power and financial security. Their approach is based on taking prudent risk and managing it when possible. | Finance |
Persimmon Growth Partners Fund LP
Persimmon Growth Partners Fund LP Investment Trusts/Mutual FundsMiscellaneous Acts as Closed-End Investment Fund/Investment Trust | Miscellaneous |
Persimmon Growth Partners Investor Fund
Persimmon Growth Partners Investor Fund Investment Trusts/Mutual FundsMiscellaneous Acts as Closed-End Investment Fund/Investment Trust | Miscellaneous |
AlphaHedge Capital Partners LLC
AlphaHedge Capital Partners LLC Investment ManagersFinance Provides investment advice | Finance |
Ashbridge Investment Management LLC
Ashbridge Investment Management LLC Investment ManagersFinance Ashbridge Investment Management's strategy focuses on asset allocation to enhance performance and manage risk. Their portfolios are comprised of US equities, bonds, non-US equities, alternative strategies and cash. US equities may include large-, mid- and small-cap equities. The firm invests in both value and growth stocks. They invest in US taxable and non-taxable bonds, non-US bonds and high yield bonds. Ashbridge invests in geographically concentrated, emerging markets. Their alternative strategies include: hedged equity, convertible arbitrage, merger arbitrage, private equity, venture capital, distressed debt, managed futures, trading strategies and real estate. Ashbridge is an active portfolio manager and they take a long-term approach to investing. | Finance |
Persimmon Research Partners, Inc.
Persimmon Research Partners, Inc. Internet Software/ServicesTechnology Services Develops and provides comprehensive on-line investment consulting platform for the investment community | Technology Services |
Standard Chartered International (USA) LLC
Standard Chartered International (USA) LLC Major BanksFinance International commercial bank | Finance |
University of Wisconsin
University of Wisconsin Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Dakota Wealth LLC
Dakota Wealth LLC Investment ManagersFinance DWM uses a process that includes the inputs of valuation and fundamental analysis, along with a rules-based overlay incorporating technical analysis that helps inform their decision making. They then apply this process in the form of different types of investment offerings: equities, fixed income, ETFs, asset allocation and options. The firm utilizes both actively and passively managed mutual funds in an asset allocation framework to provide client portfolios with a diversified exposure to the broader capital markets. | Finance |
Save More Super Market, Inc.
Save More Super Market, Inc. Food DistributorsDistribution Services Save More Super Market is a grocery store and supermarket chain. It offers a variety of brand-name and private-label grocery items at discounted prices. The company is based in New Orleans, LA. | Distribution Services |
Persimmon Capital Management LP
Persimmon Capital Management LP Investment ManagersFinance PCM aims to preserve and increase wealth for their clients through the structured management of risk using non-traditional investment opportunities such as hedge funds, private equity and debt funds, and direct investments in private real estate and operating companies. The firm strongly believes in non-correlated assets that provide return streams agnostic of traditional equities or bond markets. | Finance |
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