AUMdb

Rr Advisors, Llc

SEC-registered Private Fund Manager · Small ($100M–$1B) CRD 130609 · SEC file 801-73811 · Dallas, TX · www.rchenergy.com
☆ Save with Pro ADV data as of Mar 20, 2026
Regulatory AUM
$497M
Discretionary
$497M
Clients
10
Avg AUM / client
$49.7M
Accounts
10
Employees
8

AUM over time

$397M $1.1B
Dec 2011 Dec 2025

Annual snapshots from Form ADV filings · as of Mar 20, 2026

Investments (13F portfolio — 27 positions, $360,463,561)

13F period Mar 31, 2026
#IssuerClassValueShares% of 13F% of AUM
1 Antero Midstream Corp COM $34,510,308 1,513,610 9.57% 6.95%
2 Kinder Morgan Inc Del COM $28,689,207 855,628 7.96% 5.78%
3 Kinetik Holdings Inc COM NEW CL A $27,977,882 577,936 7.76% 5.63%
4 Williams Cos Inc COM $27,298,104 375,077 7.57% 5.5%
5 Cheniere Energy Inc COM NEW $26,161,821 92,197 7.26% 5.27%
6 Energy Transfer L P COM UT LTD PTN $23,840,518 1,235,260 6.61% 4.8%
7 Plains Gp Hldgs L P LTD PARTNR INT A $20,329,377 837,289 5.64% 4.09%
8 Enterprise Prods Partners L COM $17,101,031 451,930 4.74% 3.44%
9 Genesis Energy L P UNIT LTD PARTN $15,482,538 868,342 4.3% 3.12%
10 Targa Res Corp COM $15,308,069 61,054 4.25% 3.08%
11 Venture Global Inc COM CL A $13,337,688 846,300 3.7% 2.68%
12 Terawulf Inc COM $13,130,896 909,972 3.64% 2.64%
13 Mplx Lp COM UNIT REP LTD $12,224,052 214,194 3.39% 2.46%
14 Antero Resources Corp COM $11,872,590 279,750 3.29% 2.39%
15 Dt Midstream Inc COMMON STOCK $8,313,583 61,733 2.31% 1.67%
16 Viper Energy Inc CL A $8,138,809 173,203 2.26% 1.64%
17 Eqt Corp COM $7,951,754 124,949 2.21% 1.6%
18 Expand Energy Corporation COM $7,692,065 70,068 2.13% 1.55%
19 Western Midstream Partners L COM UNIT LP INT $7,588,166 184,313 2.11% 1.53%
20 Permian Resources Corp CLASS A COM $7,364,610 345,432 2.04% 1.48%
21 Riot Platforms Inc COM $6,468,087 523,308 1.79% 1.3%
22 Range Res Corp COM $5,651,747 125,094 1.57% 1.14%
23 Cipher Digital Inc COM $3,603,600 280,000 1.0% 0.73%
24 Comstock Res Inc COM $3,145,347 149,210 0.87% 0.63%
25 Gulfport Energy Corp COMMON SHARES $2,961,980 14,000 0.82% 0.6%

Top 25 of 27 positions from the manager's latest Form 13F · source filing (EDGAR) ↗. 13F covers long US-listed positions only. "% of AUM" is share of the firm's total regulatory AUM (Form ADV Item 5.F).

Who they serve

Client typeClientsAUM% of AUM
Pooled investment vehicles (non-investment companies) 8 $403M 81.1%
Charitable organizations 2 $93.8M 18.9%

Private funds (9)

Reported in Form ADV Section 7.B.(1), filing of Mar 2024 · $691M combined gross assets

FundTypeDomicileGross assetsOwners
Rch Oil & Gas Midstream Fund, Lp Hedge Fund Delaware $212M 2
Rch Energy Mlp Swap Fund, Lp Hedge Fund Delaware $205M 5
Rch Energy Mlp Fund, Lp Hedge Fund Delaware $135M 107
Rs2 Ventures, Lp Md Series A Venture Capital Fund Delaware $51.6M 59
Rs2 Ventures, Lp Sp Series A Other Private Fund Delaware $39.6M 25
Nickabella, Lp Venture Capital Fund Delaware $26.5M 18
Rs2 Ventures, Lp Sp Series B Venture Capital Fund Delaware $10.4M 36
Rch Energy Opportunity Fund Iii, Lp Private Equity Fund Delaware $6.1M 33
Rs2 Ventures, Lp Chipt Series A Real Estate Fund Delaware $4.4M 22

People (5)

roster as of Jul 20, 2026
NameRole / titleCredentialsWith firm sinceOwnership
Robert Joseph Raymond Sole Member And Chief Executive Officer Feb 2004 (23y) 75% or more
Morgan, Thomas, Kenneth Chief Compliance Officer Mar 2015 (11y) Less than 5%
Hamilton, Tonya, Brandt Chief Financial Officer And Chief Operating Officer Apr 2015 (11y) Less than 5%
Horton, Robert, Bryan President May 2023 (3y) Less than 5%
Sean M Maher Registered representative Dec 2008 (18y)

Undisclosed: 0% – 25% of the firm is not attributable from the filed Schedule A bands.

Roster from the IAPD representatives feed; ownership and acquisition dates from Form ADV Schedule A/B. "Since" is the earliest filed registration or acquisition date.

Private funds (9, $691M gross assets)

FundTypeGross assetsMin. investmentOwners
Rch Oil & Gas Midstream Fund, Lp Hedge Fund $212M $250K 2
Rch Energy Mlp Swap Fund, Lp Hedge Fund $205M $250K 5
Rch Energy Mlp Fund, Lp Hedge Fund $135M $250K 107
Rs2 Ventures, Lp Md Series A Venture Capital Fund $51.6M $25.0K 59
Rs2 Ventures, Lp Sp Series A Other Private Fund $39.6M $30.0K 25
Nickabella, Lp Venture Capital Fund $26.5M $25.0K 18
Rs2 Ventures, Lp Sp Series B Venture Capital Fund $10.4M $17.2K 36
Rch Energy Opportunity Fund Iii, Lp Private Equity Fund $6.1M $200K 33
Rs2 Ventures, Lp Chipt Series A Real Estate Fund $4.4M $50.0K 22

From Form ADV Section 7.B private fund reporting.

Documents (1 archived)

FormPeriodSize
Form ADV (full filing) 03/20/2026 2.64 MB View · PDF · Source ↗

Archived copies of the firm's regulatory filings, versioned by content hash.

Disciplinary disclosures

No disciplinary events reported on the firm's latest Form ADV filing.

How they charge

  • Percentage of assets under management
  • Performance-based fees

Services

  • Portfolio management for pooled investment vehicles
  • Portfolio management for businesses/institutional clients

Custody

Reported custodians

Amounts as reported in ADV Item 5.K.(3) (custodians holding 10%+ of SMA assets).

Firm reports having custody of client funds or securities (Item 9.A).

Source

All data on this page comes from this firm's Form ADV filings, reproduced without modification. Latest filing: Mar 20, 2026.

View current Form ADV (SEC/IAPD) ↗