Permal Capital Structure Opportunities is a Hedge Fund in British Virgin Islands with $88.10 mm assets under management, with a minimum investment of $1.00 mm. It has 4 beneficial owners. Data from SEC filing.
Company profile
Employees
Incorporated
Location
Industry
SEC CIK
AUM ?
$88.10 mm
Address
Permal Capital Structure Opportunities
C/O HARNEYS CORPORATE SERVICES LTD
P.O. BOX 71
TORTOLA
D8 BVI
C/O HARNEYS CORPORATE SERVICES LTD
P.O. BOX 71
TORTOLA
D8 BVI
Phone
011-599-9732-2233
Ownership
Fund structure | AUM | Fund type |
---|---|---|
Sandler Capital Management | $2.80 bn | |
21ST Century Communications Foreign Partners, L.P. | $200.00 k | Private Equity Fund |
21ST Century Communications Partners, L.P. | $2.25 mm | Private Equity Fund |
21ST Century Communications T-e Partners, L.P. | $750.00 k | Private Equity Fund |
Permal Capital Structure Opportunities LTD. | $88.10 mm | Hedge Fund |
Sandler Associates | $406.36 mm | Hedge Fund |
Sandler Associates II, L.P. | $13.22 mm | Hedge Fund |
Sandler Capital Partners IV Fte, L.P. | $2.11 mm | Private Equity Fund |
Sandler Capital Partners IV, L.P. | $1.38 mm | Private Equity Fund |
Sandler Capital Partners V Fte, L.P. | $125.95 mm | Private Equity Fund |
Sandler Capital Partners V Germany, L.P. | $12.67 mm | Private Equity Fund |
Sandler Capital Partners V, L.P. | $197.54 mm | Private Equity Fund |
Sandler Cso SPV, LTD. | $780.00 k | Other Private Fund |
Sandler Master Fund, LTD. | $750.92 mm | Hedge Fund |
Sandler Offshore Fund, Inc. | $140.19 mm | Hedge Fund |
Sandler Plus Domestic Fund II, LP | $8.47 mm | Hedge Fund |
Sandler Plus Domestic Fund, LP | $196.88 mm | Hedge Fund |
Sandler Plus Master Fund, LTD. | $835.24 mm | Hedge Fund |
Sandler Plus Offshore Fund, LTD. | $327.60 mm | Hedge Fund |
Sandler Technology Partners Subsidiary, LLC | $705.00 k | Private Equity Fund |
Sandler Technology Partners, L.P. | $360.00 k | Private Equity Fund |
Latest filings (excl ownership)
D/A
Indefinite amount in investment fund, 3 investors
16 Mar 17
D/A
Indefinite amount in investment fund, sold $6.08M, 3 investors
14 Mar 16
D/A
Indefinite amount in investment fund, sold $6.08M, 3 investors
13 Mar 14
D/A
Indefinite amount in investment fund, sold $6.08M, 3 investors
14 Mar 13
D/A
Indefinite amount in investment fund, sold $5.73M, 3 investors
15 Mar 12
D
Indefinite amount in investment fund / equity, sold $99.66M, 9 investors
16 Mar 11
D/A
Indefinite amount in investment fund / equity, sold $83.91M, 2 investors
16 Mar 10
D/A
Exempt offering of security (amended)
17 Mar 09
REGDEX
Notice of sale of securities
1 Apr 08
Latest ownership filings
No filings