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Ian Timothy Simmonds

SIXTH STREET SPECIALTY LENDING ADVISERS, LLC·DALLAS, Texas
SIE, Series 7, Series 24, Series 63, Series 79TOClean recordSIXTH STREET SPECIALTY LENDING ADVISERS, LLC
2100 MCKINNEY AVENUE, DALLAS, TX 75201CRD# 5028367Firm CRD# 155006

Profile Verification

Sourced · FINRA · SEC · CFP Board · Self-disclosed
Identity
Ian Timothy Simmonds · DALLAS, TX
Registration
CRD #5028367 · SIXTH STREET SPECIALTY LENDING ADVISERS, LLC
Brand Profile
Not yet started
01

Registrations & Exams

FINRA examinations passed
SIE
Series 7
Series 24
Series 63
Series 79TO
02

Disclosure History

Clean record · no disclosure events on file

Source: SEC IAPD. Verify on FINRA BrokerCheck →

03

Firm Overview

Firm
SIXTH STREET SPECIALTY LENDING ADVISERS, LLC
CRD 155006 · SEC 801-72185
AUM
$3.3B
Regulatory assets under management
Employees
67
1 client accounts
Services offered by SIXTH STREET SPECIALTY LENDING ADVISERS, LLC
Per Form ADV
Portfolio management (pooled investments)
Client types served by the firm
Per Form ADV
Institutional Investors
Introduction

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04

Frequently Asked Questions

What services does Ian Timothy Simmonds offer?
Ian Timothy Simmonds specializes in Investment Management. Contact their office in DALLAS, Texas for a consultation.
What are Ian Timothy Simmonds's credentials?
Ian Timothy Simmonds is a registered investment adviser representative. Check their firm's Form ADV filing for detailed qualification information.
Where is Ian Timothy Simmonds located?
Ian Timothy Simmonds is based in DALLAS, Texas, working with SIXTH STREET SPECIALTY LENDING ADVISERS, LLC. Their office serves clients in the DALLAS metropolitan area and surrounding communities.
How does Ian Timothy Simmonds charge for services?
Ian Timothy Simmonds's firm is compensated through percentage of aum, performance-based fees. Always review the firm's Form ADV Part 2 for complete fee details before engaging an advisor.
How large is SIXTH STREET SPECIALTY LENDING ADVISERS, LLC?
SIXTH STREET SPECIALTY LENDING ADVISERS, LLC has approximately 67 employees and manages $3.3B in regulatory assets under management. The firm is registered with the SEC as an investment adviser.
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