Global Asset Backed Opportunities is a Hedge Fund in New York with $227.11 mm assets under management, with a minimum investment of $250.00 k. It has 173 beneficial owners. Data from SEC filing.
Company profile
Employees
Incorporated
Location
Fiscal year end
Industry
Former names
Morgan Stanley Global Asset Backed Opportunities LP
SEC CIK
AUM ?
$227.11 mm
Address
Global Asset Backed Opportunities
522 FIFTH AVENUE
NEW YORK
NY 10036
522 FIFTH AVENUE
NEW YORK
NY 10036
Phone
212.296.6962
Ownership
Fund structure | AUM | Fund type |
---|---|---|
Morgan Stanley Investment Management Inc. | $632.63 bn | |
522 Funding Clo 2019-5, LTD. | $447.12 mm | Securitized Asset Fund |
Counterpoint Ventures Investor Fund LP | $88.83 mm | Venture Capital Fund |
Counterpoint Ventures Master Fund LP | $34.29 mm | Other Private Fund |
Counterpoint Ventures Feeder Fund LP | ||
Emerging Markets Debt Trust | $308.12 mm | Other Private Fund |
Emerging Markets Leaders Trust | $221.08 mm | Other Private Fund |
Emerging Markets Trust | $2.30 bn | Other Private Fund |
Global Asset Backed Opportunities LP | $227.11 mm | Hedge Fund |
Global Asset Backed Opportunities (Cayman) LP | $103.84 mm | Hedge Fund |
Global Fixed Income Spc/mi Senior Loan Segregated Portfolio | $63.98 mm | Other Private Fund |
Growth Trust | $1.02 bn | Other Private Fund |
Inception Trust | $676.66 mm | Other Private Fund |
International Equity Trust | $1.35 bn | Other Private Fund |
International Equity Trust II | $807.25 mm | Other Private Fund |
Marigold Tactical Strategies LTD. | $669.49 mm | Hedge Fund |
Morgan Stanley Galaxy Funds - Frontier Emerging Markets Fund | $141.32 mm | Other Private Fund |
NH CL Buy and Hold Strategy LP | $737.38 mm | Hedge Fund |
Offshore Emerging Markets Fund | $180.16 mm | Other Private Fund |
Offshore International Equity Fund | $176.22 mm | Other Private Fund |
Riverview Risk Premia Fund LP | $49.38 mm | Other Private Fund |
Riverview Risk Premia (Cayman) LP | ||
Riverview RP Select Fund LP | $149.72 mm | Hedge Fund |
Sbar Investors, LP | $397.77 mm | Private Equity Fund |
Scrsic Strategic Partnership Fund LP | $314.49 mm | Private Equity Fund |
Latest filings (excl ownership)
D/A
Indefinite amount in investment fund, sold $133.11 mm, 326 investors
11 Aug 23
D/A
Indefinite amount in investment fund, sold $133.11M, 323 investors
12 Aug 22
D/A
Indefinite amount in investment fund, sold $133.01M, 321 investors
12 Aug 21
D/A
Indefinite amount in investment fund, sold $132.71M, 319 investors
12 Aug 20
D/A
Indefinite amount in investment fund, sold $325.9M, 321 investors
12 Aug 19
D/A
Indefinite amount in investment fund, sold $309.25M, 309 investors
13 Aug 18
D/A
Indefinite amount in investment fund, sold $303.58M, 301 investors
14 Jul 17
D/A
Indefinite amount in investment fund, sold $292.94M, 284 investors
15 Jul 16
D/A
Indefinite amount in investment fund, sold $119.92M, 283 investors
15 Jul 15
D
Indefinite amount in investment fund
23 Sep 14
Latest ownership filings
No filings