Hi-line Capital Management, LLC
WATERTOWN, SD
Form ADV and provider website profile · CRD 149522 · regulatory data as of Apr 21, 2026
This profile compiles reported firm AUM, regulatory account counts, ownership information, and source-linked regulatory records for Hi-line Capital Management, LLC. Firm-wide values may include business beyond OCIO services; review the linked filing before relying on a claim. How to interpret OCIO Intelligence data.
$757MReported Firm AUMReported Firm AUMTotal assets under management reported for the registered advisory firm. This may include businesses beyond its OCIO services.
225Total AccountsTotal AccountsTotal regulatory accounts reported in Form ADV Item 5.F. This is not necessarily the number of OCIO mandates or unique clients.
$726MDiscretionary AUMDiscretionary AUMFirm assets reported as discretionary, where the adviser generally has authority to make investment decisions within the client mandate.
$30MNon-discretionary AUMNon-discretionary AUMFirm assets reported as non-discretionary, where the client generally retains final investment decision authority.
Direct Owners & Executives
Source: Form ADV- Reported since
- 03/2010
- Type
- Individual
- Control person
- Yes
- Ownership
- 75% or more
- Reported since
- 11/2022
- Type
- Individual
- Control person
- Yes
- Ownership
- Less than 5%
| Name | Title | Reported since | Type | Control person | Ownership |
|---|---|---|---|---|---|
| Michael Eugene Anderson | Member, President, And Chief Investment Officer | 03/2010 | Individual | Yes | 75% or more |
| Matthew Thomas Roby | Vice President, Chief Compliance Officer, General Counsel | 11/2022 | Individual | Yes | Less than 5% |
Indirect Ownership
Source: Form ADVNo indirect ownership records were reported.
Owners & Executives
Source: Form ADVME
Michael Eugene Anderson
Member, President, And Chief Investment Officer
MT
Matthew Thomas Roby
Vice President, Chief Compliance Officer, General Counsel
Names and titles are shown as reported in Form ADV.
Ownership & Governance
Direct owners & executives2
Indirect ownership records0
Regulatory statusSEC registered investment adviser
SEC registration dateApr 6, 2015
CRD number149522