PGIM Fixed Income Alternatives Fund, L.P., Global Macro is a Hedge Fund in New Jersey, that has raised $55.00 mm from 3 investors, for an equity fund started in Nov 2019. Data from SEC filing on 5 Nov 2021.
Company profile
Employees
Incorporated
Location
Fiscal year end
Industry
SEC CIK
AUM ?
$28.43 mm
Address
PGIM Fixed Income Alternatives Fund, L.P., Global Macro
655 BROAD STREET, 8TH FLOOR
NEWARK
NJ 07102
655 BROAD STREET, 8TH FLOOR
NEWARK
NJ 07102
Phone
800-225-1852
Ownership
Fund structure | AUM | Fund type |
---|---|---|
Pgim, Inc. | $1.19 tn | |
Alpha Opportunities Master Segregated Portfolio | $110.75 mm | Hedge Fund |
Alpha Opportunities (U.s.) Series, a Series of Pgim Fixed Income Alternatives Fund, L.P. | ||
Asia Real Estate Fund, L.P. | $18.62 mm | Hedge Fund |
Credit Opportunities Fund Pgim Fixed Income Alternatives Master Fund Icav | $150.25 mm | Hedge Fund |
Credit Opportunities (Cayman) Segregated Portfolio a Segregated Portfolio of Pgim Fi Alternatives Fund II (Cayman), SPC LTD. | ||
Credit Opportunities (U.s.) Series, a Series of Pgim Fixed Income Alternatives Fund II, L.P. | ||
Dryden 102 Clo, LTD | $4.99 mm | Securitized Asset Fund |
Dryden 104 Clo, LTD | $34.16 mm | Securitized Asset Fund |
Dryden 30 Senior Loan Fund | $458.36 mm | Securitized Asset Fund |
Dryden 33 Senior Loan Fund | $965.02 mm | Securitized Asset Fund |
Dryden 36 Senior Loan Fund | $675.45 mm | Securitized Asset Fund |
Dryden 37 Senior Loan Fund | $492.95 mm | Securitized Asset Fund |
Dryden 38 Senior Loan Fund | $491.54 mm | Securitized Asset Fund |
Dryden 40 Senior Loan Fund | $590.37 mm | Securitized Asset Fund |
Dryden 41 Senior Loan Fund | $541.31 mm | Securitized Asset Fund |
Dryden 42 Senior Loan Fund | $394.42 mm | Securitized Asset Fund |
Dryden 43 Senior Loan Fund | $652.30 mm | Securitized Asset Fund |
Dryden 45 Senior Loan Fund | $641.74 mm | Securitized Asset Fund |
Dryden 47 Senior Loan Fund | $689.76 mm | Securitized Asset Fund |
Dryden 49 Senior Loan Fund | $592.79 mm | Securitized Asset Fund |
Dryden 50 Senior Loan Fund | $594.16 mm | Securitized Asset Fund |
Dryden 53 Clo, LTD. | $595.08 mm | Securitized Asset Fund |
Dryden 54 Senior Loan Fund | $493.48 mm | Securitized Asset Fund |
Dryden 55 Clo, LTD. | $543.91 mm | Securitized Asset Fund |
Dryden 57 Clo, LTD. | $409.76 mm | Securitized Asset Fund |
Dryden 58 Clo, LTD. | $446.99 mm | Securitized Asset Fund |
Dryden 60 Clo, LTD. | $397.30 mm | Securitized Asset Fund |
Dryden 61 Clo, LTD. | $498.02 mm | Securitized Asset Fund |
Dryden 64 Clo, LTD. | $593.87 mm | Securitized Asset Fund |
Dryden 65 Clo, LTD. | $497.49 mm | Securitized Asset Fund |
Dryden 68 Clo, LTD. | $498.83 mm | Securitized Asset Fund |
Dryden 70 Clo, LTD. | $498.90 mm | Securitized Asset Fund |
Dryden 72 Clo, LTD. | $396.87 mm | Securitized Asset Fund |
Dryden 75 Clo, LTD. | $524.01 mm | Securitized Asset Fund |
Dryden 76 Clo, LTD. | $399.51 mm | Securitized Asset Fund |
Dryden 77 Clo, LTD. | $498.96 mm | Securitized Asset Fund |
Dryden 78 Clo, LTD. | $500.83 mm | Securitized Asset Fund |
Dryden 80 Clo, LTD. | $399.40 mm | Securitized Asset Fund |
Dryden 82 Clo, LTD | Securitized Asset Fund | |
Dryden 83 Clo, LTD | $399.98 mm | Securitized Asset Fund |
Dryden 85 Clo, LTD | $450.22 mm | Securitized Asset Fund |
Dryden 86 Clo, LTD | $624.20 mm | Securitized Asset Fund |
Dryden 87 Clo, LTD | $599.57 mm | Securitized Asset Fund |
Dryden 90 Clo, LTD | $497.70 mm | Securitized Asset Fund |
Dryden 92 Clo, LTD | $602.32 mm | Securitized Asset Fund |
Dryden 93 Clo, LTD | $399.04 mm | Securitized Asset Fund |
Dryden 94 Clo, LTD | $120.97 mm | Securitized Asset Fund |
Dryden 95 Clo, LTD | $604.13 mm | Securitized Asset Fund |
Dryden 97 Clo, LTD | $114.07 mm | Securitized Asset Fund |
Dryden 98 Clo, LTD | $120.12 mm | Securitized Asset Fund |
Dryden Impact Clo I, LTD | $142.00 mm | Securitized Asset Fund |
Dryden XXV Senior Loan Fund | $9.07 mm | Securitized Asset Fund |
Dryden XXVI Senior Loan Fund | $384.62 mm | Securitized Asset Fund |
Dryden XXVIII Senior Loan Fund | $489.71 mm | Securitized Asset Fund |
Global Macro Master Segregated Portfolio, a Segregated Portfolio of Pgim Fixed Income Alternatives M | $28.43 mm | Hedge Fund |
Global Macro (U.s.) Series, a Series of Pgim Fixed Income Alternatives Fund, L.P. | ||
Newark BSL Clo 1 LTD. | $496.35 mm | Securitized Asset Fund |
Newark BSL Clo 2 LTD. | $495.76 mm | Securitized Asset Fund |
PCP Master Hamburger Holding Company, LLC | $263.28 mm | Private Equity Fund |
Pgim Absolute Total Return Bond Fund of the Prudential Trust Company Institutional Business Trust | $80.42 mm | Hedge Fund |
Pgim Broad Market High Yield Bond Fund of the Prudential Trust Company Institutional Business Trust | $699.44 mm | Hedge Fund |
Pgim Broad Market High Yield Bond Fund, L.P. | $4.22 bn | Hedge Fund |
Pgim Capital Partners Management Fund VI LP | $101.39 mm | Private Equity Fund |
Pgim Capital Partners Management (Feeder) Fund VI, LLC | ||
Pgim Capital Partners Parallel Fund VI LP | $574.76 mm | Private Equity Fund |
Pgim Capital Partners VI LP | $1.67 bn | Private Equity Fund |
Pgim Capital Partners (Feeder Fund) VI, LLC | ||
Pgim Core Bond Fund of the Prudential Trust Company Institutional Business Trust | $433.61 mm | Hedge Fund |
Pgim Core Conservative Bond Fund of the Prudential Trust Company Institutional Business Trust | $4.25 bn | Other Private Fund |
Pgim Core Plus Bond Fund of the Prudential Trust Company Institutional Business Trust | $1.49 bn | Hedge Fund |
Pgim Emerging Markets Debt Fund of the Prudential Trust Company Institutional Business Trust | $550.26 mm | Hedge Fund |
Pgim Fixed Income Emerging Markets Long Short Master Fund, LTD. | $906.54 mm | Hedge Fund |
Pgim Fixed Income Emerging Markets Long Short Fund I (Cayman), LTD | ||
Pgim Fixed Income Emerging Markets Long Short Fund I, L.P. | ||
Pgim Fixed Income Global Liquidity Relative Value Master Fund, LTD. | $67.02 bn | Hedge Fund |
Pgim Fixed Income Global Liquidity Relative Value Fund I (Cayman), LTD. | ||
Pgim Fixed Income Global Liquidity Relative Value Fund I, L.P. | ||
Pgim Fixed Income U.S. Liquidity Relative Value Master Fund, LTD. | $6.05 bn | Hedge Fund |
Pgim Fixed Income U.S. Liquidity Relative Value Fund I, LLC- Series a | ||
Pgim Fixed Income U.S. Liquidity Relative Value Fund I, LLC -Series B | ||
Pgim Fixed Income Us Liquidity Relative Value Fund I (Cayman), LTD. | ||
Pgim Funds PLC - Pgim Emerging Market Hard Currency Debt Fund | $1.46 bn | Hedge Fund |
Pgim Funds PLC - Pgim Emerging Market Local Currency Debt Fund | $147.85 mm | Hedge Fund |
Pgim Funds PLC - Pgim Global Total Return Bond Fund | $711.37 mm | Hedge Fund |
Pgim Long Duration Governmentcredit Conservative Bond Fund of the Prudential Trust Company Institut | $1.82 bn | Hedge Fund |
Pgim Qualifying Investor Funds PLC - Pgim Qif Emerging Market Debt Opportunities Fund | $400.47 mm | Hedge Fund |
Pgim Qualifying Investor Funds PLC - Pgim Qif Global Loan Fund | $37.63 mm | Hedge Fund |
Pgim Real Estate Global Debt LP | $251.36 mm | Other Private Fund |
Pgim Real Estate U.S. Debt Fund, L.P. | $4.14 bn | Hedge Fund |
Pgim Real Estate Us Core Debt Fund | $819.17 mm | Real Estate Fund |
Pgim Senior Loan Opportunities Levered I LP | $100.56 mm | Other Private Fund |
Pgim Senior Loan Opportunities Management Fund I, L.P. | $39.94 mm | Other Private Fund |
Pgim Senior Loan Opportunities Management (Feeder) I, LLC | ||
Pgim U.S. Agriculture Fund LP | $489.76 mm | Real Estate Fund |
Pgim Ultra Short Bond Fund of the Prudential Trust Company Institutional Business Trust | $468.70 mm | Hedge Fund |
Pgim Us Corporate Bond Fund | $860.23 mm | Hedge Fund |
Pla Industrial Fund II, LLC | $1.87 mm | Hedge Fund |
Pla Residential III Fund, LP | Hedge Fund | |
Pla Residential III Fund, Red LP | ||
Pla Residential III Fund Green, LP | ||
Pla Retail Fund I, LP | $96.69 k | Hedge Fund |
Pla Retail Fund I Red, LP | ||
Pla Retail Fund I Blue, LP | ||
Pla Retail II | $167.86 mm | Hedge Fund |
Pla Retail Fund Ii-b, LP | ||
Pla Retail Fund Ii-a LP | ||
Preco Account Partnership IV Fund LP | $2.89 mm | Hedge Fund |
Prisa | $32.53 bn | Other Private Fund |
Prisa LP | ||
Prisa II | $16.37 bn | Other Private Fund |
Prisa III Fund LP | $5.29 bn | Hedge Fund |
Prudential Capital Energy Partners Management Fund L.P. | $38.30 mm | Other Private Fund |
Prudential Capital Energy Partners Management (Feeder), LLC | ||
Prudential Capital Energy Partners, L.P. | $313.82 mm | Other Private Fund |
Prudential Capital Partners (Parallel Fund) II, L.P. | $5.48 mm | Private Equity Fund |
Prudential Capital Partners (Parallel Fund) III, L.P. | $12.49 mm | Private Equity Fund |
Prudential Capital Partners (Parallel Fund) IV, L.P. | $32.39 mm | Private Equity Fund |
Prudential Capital Partners (Parallel Fund) V, L.P. | $448.33 mm | Private Equity Fund |
Prudential Capital Partners II, L.P. | $5.12 mm | Private Equity Fund |
Prudential Capital Partners III, L.P. | $158.50 mm | Private Equity Fund |
Prudential Capital Partners IV, L.P. | $443.82 mm | Private Equity Fund |
Prudential Capital Partners (Feeder Fund) IV, L.P. | ||
Prudential Capital Partners Management Fund II, L.P. | $769.65 k | Private Equity Fund |
Prudential Capital Partners Management Fund III, L.P. | $8.24 mm | Private Equity Fund |
Prudential Capital Partners Management Fund IV, L.P. | $23.47 mm | Private Equity Fund |
Prudential Capital Partners Management Fund V, L.P. | $73.50 mm | Private Equity Fund |
Prudential Capital Partners Management (Feeder) V, LLC | ||
Prudential Capital Partners V, L.P. | $1.03 bn | Private Equity Fund |
Prudential Capital Partners (Feeder Fund) V, L.P. | ||
Prudential Retirement Real Estate Fund, II LP | $1.86 bn | Other Private Fund |
Senior Housing Partners IV, L.P. | Hedge Fund | |
Senior Housing Partners V, L.P. | $217.04 mm | Hedge Fund |
Senior Housing Partnership Fund IV, L.P. | Hedge Fund | |
Senior Housing Partnership Fund V, L.P. | $585.00 mm | Hedge Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-16 | $571.26 mm | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-20 | $1.46 bn | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-25 | $84.08 mm | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-32 | $669.76 mm | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-7 | $635.97 mm | Hedge Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-8 | $186.11 mm | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-LONGCORP | $324.88 mm | Hedge Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-LONGGOVT | $401.77 mm | Hedge Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-SP | $1.12 bn | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-STRIPS-20YRPLUS | $1.23 bn | Hedge Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-TIA | $175.55 mm | Liquidity Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-3-USGOVMM | $343.94 mm | Liquidity Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-7-R1000-IDX | $231.34 mm | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-7-R2000-IDX | $145.46 mm | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-7-R3000-IDX | $634.97 mm | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-100-PRO-1 | Other Private Fund | |
the Prudential Insurance Company of America Variable Contract Account GI-200-3-CLO | $270.79 mm | Other Private Fund |
the Prudential Insurance Company of America Variable Contract Account GI-200-3-USGOVMM | Other Private Fund | |
the Prudential Insurance Company of America Variable Contract Account GI-MAT-1 | $28.64 mm | Other Private Fund |
VRS Pim Holding Co LLC | $1.37 bn | Real Estate Fund |
Latest ownership filings
No filings