About Us

Investment Manager

Luminaire Fund LP is managed by Dr. Suresh Nair, an experienced financial analytics professional. Dr. Nair has forty years of experience in academia, research and consulting using data analytics, stochastic optimization and machine learning. Among a rich body of work, he has a patent on credit line management and customer lifetime value, and a paper with the Federal Reserve on optimizing sweeps in retail and brokerage banking. He is Series 65 certified. Dr. Nair has pursued his current investment strategy for the past 15 years, with exceptional results. Luminaire Fund is a Delaware LP, and Luminaire Advisers LLC is based in Palm Beach Gardens, FL, USA.

Acknowledgment

To access Luminaire Fund’s Performance page, you must first acknowledge you are a Qualified Client or Registered Investment Advisor and have read and understand the following disclaimer.

The performance displayed is actual performance that has been independently audited for the period April 2022 to 2025. This material does not constitute an offer or the solicitation of an offer to purchase an interest in Luminaire Fund LP (the “Fund”), which such offer will only be made via a confidential private placement memorandum (the “Memorandum”). An investment in the Fund is speculative and is subject to a risk of loss, including a risk of loss of principal. There is no secondary market for interests in the Fund and none is expected to develop. No assurance can be given that the Fund will achieve its objective or that an investor will receive a return of all or part of its investment. All statements herein are qualified in their entirety by reference to the Memorandum, and to the extent that this document contradicts the Memorandum, the Memorandum shall govern in all respects.

Results are compared to the performance of the S&P 500 Index, the Dow Jones Industrial Average, and the NASDAQ Composite (collectively, the “Comparative Indexes”) for informational purposes only. The Fund’s investment program does not mirror any of the Comparative Indexes and the volatility of the Fund’s investment program may be materially different from the volatility of the Comparative Indexes. The securities included in the Comparative Indexes are not necessarily included in the Fund’s investment program and criteria for inclusion in the Comparative Indexes are different than criteria for investment by the Fund. The performance of the Comparative Indexes reflects the reinvestment of dividends, as appropriate.

This material contains certain forward-looking statements and projections regarding market trends, investment strategy, and the future asset allocation of the Fund, including indicative guidelines regarding position limits, exposures, position sizing, diversification, and other indications regarding the Fund’s strategy. These projections and guidelines are included for illustrative purposes only, are inherently predictive, speculative, and involve risk and uncertainty because they relate to events and depend on circumstances that will occur in the future. The guidelines included herein do not reflect strict rules or limitations on the Fund’s investment program and the Fund may deviate from the guidelines described herein. There are a number of factors that could cause actual events and developments to differ materially from those expressed or implied by these forward-looking statements, projections, and guidelines, and no assurances can be given that the forward-looking statements in this document will be realized or followed, as described. These forward-looking statements will not necessarily be updated in the future.
PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.
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