DFX Intelligence
Data Factory
Reading the graph
Reading the graph
| Class | ||||||||
|---|---|---|---|---|---|---|---|---|
| PORTLAND, | 2016 | |||||||
| 1 | ||||||||
| Oviedo, | 63 | |||||||
| LONDON, | $2.3B | 4 | 2012 | |||||
| Chantilly, | 97 | |||||||
| Chicago, | 79 | |||||||
| Highlands Ranch, | 1 | |||||||
| 2 | 4 | 2028 | ||||||
| $722M | 49 | 2013 | ||||||
| $334M | 37 | 2013 | ||||||
| $138M | 88 | 2012 | ||||||
| $241M | 11 | 2021 | ||||||
SECURIS II FUND - SPC RELATING TO SEGREGATED PORTFOLIO SEVEN - CAT BONDS Fund · RIA / Wealth · SECURIS INVESTMENT PARTNERS LLP | $205M | 17 | 2018 | |||||
SECURIS II FUND - SPC, SEGREGATED PORTFOLIO SIX - TCCC Fund · RIA / Wealth · SECURIS INVESTMENT PARTNERS LLP | $245M | 2 | 2013 | |||||
SECURIS II FUND - SPC, FBO SEGREGATED PORTFOLIO III - LIFE & NON-LIFE Fund · RIA / Wealth · SECURIS INVESTMENT PARTNERS LLP | $112M | 2 | 2012 | |||||
| $68.2M | 7 | 2015 | ||||||
SECURIS II FUND - SPC RELATING TO SEGREGATED PORTFOLIO FOURTEEN Fund · RIA / Wealth · SECURIS INVESTMENT PARTNERS LLP | $11.6M | 42 | 2018 | |||||
| $65.1M | 4 | 2013 | ||||||
| $5.1M | 35 | 2018 | ||||||
SECURIS II FUND - SPC SEGREGATED PORTFOLIO SEVEN -CAT BONDS Fund · RIA / Wealth · SECURIS INVESTMENT PARTNERS LLP | $42.3M | 2 | 2014 | |||||
SECURIS II FUND - SPC RELATING TO SEGREGATED PORTFOLIO THREE - LIFE AND NON-LIFE Fund · RIA / Wealth · SECURIS INVESTMENT PARTNERS LLP | $1.0M | 3 | 2018 | |||||
SECURIS II FUND - SPC, SEGREGATED PORTFOLIO TWELVE Fund · RIA / Wealth · SECURIS INVESTMENT PARTNERS LLP | $792,105 | 2 | 2017 | |||||
| 6 | 3 | |||||||
| 1 | ||||||||
| 1 | ||||||||
| 1 |
Ranked by what the graph knows (size, observed deals, people, funds) unless you sort. Size is the best-evidenced figure for the row: AUM or regulatory AUM for firms and offices, close or reported gross asset value for funds, disclosed raised for companies. Click a class or a state in the table to filter by it. Counts are records per graph; with no graph selected, a firm that is on several graphs (matched by CRD, CIK, EIN or fund id, never by name) is listed once, with a dot for each graph.