DFX Intelligence
Signals
The change tapeAbout the change tapeThe snapshot is useful; the changes are what matter. Every event has an effective date, the date we observed it, a source and an evidence class. Not every event is equally significant: a 13F position change is routine, a new CIO or a first direct deal in a new sector is not.Most important first: the score every DFX event list shares, from the size of the change, how recent it is, what kind of change it is, the strength of its evidence and whether it is the first of its kind for the office, over the last 180 days. The same change reported several ways folds into one line. Latest observed lists the whole tape by the day DFX saw each row.
827 events match
- Effective3 Sep 2026Form D filed12 eventsForm D filed: 12 on 3 Sep 2026$11.9M to $1.1B
- Indus Select Fund, L.P. filed Form D/A: $1,132,913,722 sold, Hedge Fund$1.1B
- Indus Japan Long Only Fund, LP filed Form D/A: $893,220,929 sold, Hedge Fund$893M
- Indus Pacific Opportunities Fund, L.P. filed Form D/A: $858,240,969 sold, Hedge Fund$858M
- Effective17 Sep 2026Form D filedRockefeller Private Equity Select Opportunities Fund I-B LP filed Form D/A: $252,900,000 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 252,900,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002075573-26-000001
$253M - Effective17 Sep 2026Form D filedRockefeller Private Equity Select Opportunities Fund I-A LP filed Form D/A: $252,900,000 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 252,900,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002078904-26-000001
$253M - Effective11 Sep 2026Form D filedHamilton Lane Impact Fund III-A LP filed Form D/A: $193,996,533 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 193,996,533; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000904454-26-000481
$194M - Effective20 Aug 2026Form D filedAbacus Multi-Family Partners VII LP filed Form D/A: $1,091,296,970 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 1,091,296,970; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000898432-26-000684
$1.1B - Effective6 Jul 2026Form D filedAcadian Emerging Markets Equity II Fund, LLC filed Form D/A: $3,853,562,211 sold, Other Investment Fund
Evidence
- After
- Amendment: yes; Fund type: Other Investment Fund; Amount sold: 3,853,562,211; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001461762-26-000001
$3.9B - Effective16 Sep 2026Form D filedShawSpring Partners QP Fund, LP filed Form D/A: $1,605,355,029 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 1,605,355,029; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001856181-26-000003
$1.6B - Effective15 Jul 2026Form D filedRTW OFFSHORE FUND ONE, LTD. filed Form D/A: $2,076,087,228 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 2,076,087,228; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001493217-26-000001
$2.1B - Effective1 Jul 2026Form D filedVALIANT CAPITAL PARTNERS LP filed Form D/A: $1,712,806,982 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 1,712,806,982; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000935836-26-000337
$1.7B - Effective1 Jul 2026New investment vehicleinference2026 Cervurite Co-Investing LLC: new vehicle, $300,400,000 sold (Other Investment Fund)
Evidence
- After
- Vehicle: 2026 Cervurite Co-Investing LLC; Fund type: Other Investment Fund; Amount sold: 300,400,000; Industry group: Pooled Investment Fund
- Confidence
- 80%
- Evidence
- How: related known; Accession: 0002143515-26-000001
$300M - Effective15 Jul 2026Form D filedRTW Innovation Offshore Fund Ltd filed Form D/A: $1,666,363,372 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 1,666,363,372; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001649579-26-000001
$1.7B - Effective1 May 2026Form D filedCoatue Qualified Partners, L.P. filed Form D/A: $6,885,535,475 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 6,885,535,475; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000919574-26-002537
$6.9B - Effective8 Jul 2026New investment vehicle5 eventsNew investment vehicle: 5 on 8 Jul 2026$7.4M to $224M
- Fifth Avenue Co-Investments 1 LLC: new vehicle, $223,885,000 sold (Other Investment Fund)$224M
- Beneficient: vehicle linked to Hicks Holdings LLC by shared principal, $7,444,545 sold$7.4M
- Effective1 May 2026Form D filedCOATUE LONG ONLY PARTNERS LP filed Form D/A: $2,455,349,664 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 2,455,349,664; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000919574-26-002556
$2.5B - Effective17 Apr 2026Form D filedBROOKDALE INTERNATIONAL PARTNERS, L.P. filed Form D/A: $2,083,439,319 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 2,083,439,319; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000905148-26-001719
$2.1B - Effective14 Jul 2026Form D filedSilver Rock Onshore Opportunistic Credit Fund LP filed Form D/A: $838,453,690 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 838,453,690; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000905148-26-003252
$838M - Effective14 Aug 2026Form D filedStonepeak Catalyst Fund LP filed Form D/A: $600,000,000 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 600,000,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002075791-26-000001
$600M - Effective7 Aug 2026New investment vehicleinferenceGalaxy Sharplink Onchain Yield Fund, LP: vehicle linked to Galaxy Investment Partners by shared principal, $125,250,000 sold (Other Investment Fund)
Evidence
- After
- How: shared principal; Role: Executive Officer; Person: Michael Novogratz; Vehicle: Galaxy Sharplink Onchain Yield Fund, LP; Fund type: Other Investment Fund; Amount sold: 125,250,000
- Confidence
- 70%
- Evidence
- How: shared principal; Role: Executive Officer; Person: Michael Novogratz; Accession: 0002140024-26-000001
$125M - Effective1 Apr 2026New investment vehicleinferenceQXO, Inc.: vehicle linked to Jacobs Private Equity, LLC by shared principal, $253,945,772 sold
Evidence
- After
- How: shared principal; Role: Executive Officer/Director; Person: Brad Jacobs; Vehicle: QXO, Inc.; Amount sold: 253,945,772
- Confidence
- 70%
- Evidence
- How: shared principal; Role: Executive Officer/Director; Person: Brad Jacobs; Accession: 0000950142-26-001138
$254M - Effective30 Jul 2026Form D filedVantageRock Capital Fund LP filed Form D/A: $710,225,440 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 710,225,440; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001013594-26-000791
$710M - Effective15 Apr 2026Form D filedStonepeak Global Renewables Fund II LP filed Form D/A: $1,252,509,000 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 1,252,509,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002030457-26-000001
$1.3B - Effective15 Apr 2026Form D filedSGRF II (Lux) SCSp filed Form D/A: $1,252,509,000 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 1,252,509,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002030432-26-000001
$1.3B - Effective24 Jun 2026Form D filed5 eventsForm D filed: 5 on 24 Jun 2026$151M to $1.2B
- Hamilton Lane Equity Opportunities Fund VI-A LP filed Form D/A: $1,244,129,250 sold, Private Equity Fund$1.2B
- Overbrook Core Equity Fund, LP filed Form D/A: $151,322,600 sold, Hedge Fund$151M
- Effective16 Jun 2026New investment vehicleinference8090 Solutions Inc.: vehicle linked to Social Capital by shared principal, $115,640,617 sold
Evidence
- After
- How: shared principal; Role: Executive Officer/Director; Person: Chamath Palihapitiya; Vehicle: 8090 Solutions Inc.; Amount sold: 115,640,617
- Confidence
- 70%
- Evidence
- How: shared principal; Role: Executive Officer/Director; Person: Chamath Palihapitiya; Accession: 0002143548-26-000001
$116M - Effective6 Jul 2026Form D filedAcadian Frontier Markets Equity Fund filed Form D/A: $600,411,075 sold, Other Investment Fund
Evidence
- After
- Amendment: yes; Fund type: Other Investment Fund; Amount sold: 600,411,075; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001405793-26-000001
$600M - Effective11 Sep 2026Fund gross assets down7 eventsPermcap Investment Office: fund gross assets down, 5 counterparties, on 11 Sep 2026down $50.3M to $163M
- PERMANENS CAPITAL EQUITIES FUND, L.P.: gross asset value $163.0M to $0.0M between the 2024-03-22 and 2026-09-11 filings (-100%)down $163M
- PERMANENS CAPITAL SHORT DURATION HIGH YIELD FUND, L.P.: gross asset value $93.8M to $0.2M between the 2024-03-22 and 2026-09-11 filings (-100%)down $93.6M
- PERMANENS CAPITAL FLOATING RATE FUND LP: gross asset value $88.4M to $1.1M between the 2024-03-22 and 2026-09-11 filings (-99%)down $87.4M
- Effective6 Jul 2026Form D filedAcadian Emerging Markets Micro-Cap Equity Fund, LLC filed Form D/A: $405,715,143 sold, Other Investment Fund
Evidence
- After
- Amendment: yes; Fund type: Other Investment Fund; Amount sold: 405,715,143; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001870400-26-000001
$406M - Effective1 May 2026Form D filedStonepeak-Plus Infrastructure Fund LP filed Form D/A: $702,056,799 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 702,056,799; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002045458-26-000013
$702M - Effective1 May 2026Form D filedStonepeak-Plus Infrastructure Fund (TE) LP filed Form D/A: $702,056,799 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 702,056,799; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002065257-26-000001
$702M - Effective1 Sep 2026Form D filedStonepeak-Plus Infrastructure Fund (TE) LP filed Form D/A: $819,129,819 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 819,129,819; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002065257-26-000002
$819M - Effective1 Sep 2026Form D filedStonepeak-Plus Infrastructure Fund LP filed Form D/A: $819,129,819 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 819,129,819; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002045458-26-000050
$819M - Effective13 Jul 2026Form D filed2026 Cervurite Co-Investing LLC filed Form D: $300,400,000 sold, Other Investment Fund
Evidence
- After
- Amendment: no; Fund type: Other Investment Fund; Amount sold: 300,400,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002143515-26-000001
$300M - Effective29 Jun 2026New investment vehicle2 eventsNew investment vehicle: 2 on 29 Jun 2026$70.0M
- GRAY MEDIA, INC: vehicle linked to Reicon Management, Inc by shared principal, $70,000,000 sold$70.0M
- Effective14 Aug 2026Form D filedArrow Partners LP filed Form D/A: $204,327,775 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 204,327,775; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000919574-26-005453
$204M - Effective18 Sep 2026New investment vehicleMFO Fund, L.P., a Delaware limited partnership: new vehicle (Venture Capital Fund)
Evidence
- After
- Vehicle: MFO Fund, L.P., a Delaware limited partnership; Fund type: Venture Capital Fund; Amount sold: 0; Industry group: Pooled Investment Fund
- Confidence
- 90%
- Evidence
- How: issuer; Accession: 0002155144-26-000003
- Effective22 Jul 2026Form D filedFifth Avenue Co-Investments 1 LLC filed Form D: $223,885,000 sold, Other Investment Fund
Evidence
- After
- Amendment: no; Fund type: Other Investment Fund; Amount sold: 223,885,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002134023-26-000001
$224M - Effective22 Sep 2026New investment vehicleinferenceAsbury Drive RNF, L.P.: vehicle linked to Bain Capital by shared principal (Other Investment Fund)
Evidence
- After
- How: shared principal; Role: Director; Person: TARA ALLIN; Vehicle: Asbury Drive RNF, L.P.; Fund type: Other Investment Fund; Amount sold: 0
- Confidence
- 70%
- Evidence
- How: shared principal; Role: Director; Person: TARA ALLIN; Accession: 0002102256-26-000002
- Effective31 Mar 2026New investment vehicleinferenceSimon Quick Private Equity Fund I, L.P.: new vehicle, $59,890,000 sold (Private Equity Fund)
Evidence
- After
- Vehicle: Simon Quick Private Equity Fund I, L.P.; Fund type: Private Equity Fund; Amount sold: 59,890,000; Industry group: Pooled Investment Fund
- Confidence
- 80%
- Evidence
- How: related known; Accession: 0002123049-26-000001
$59.9M - Effective18 Sep 2026Form D filedMFO Fund, L.P., a Delaware limited partnership filed Form D: no sales yet, Venture Capital Fund
Evidence
- After
- Amendment: no; Fund type: Venture Capital Fund; Amount sold: 0; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002155144-26-000003
- Effective21 Jul 2026Form D filedPATHSTONE BUYOUT & GROWTH 2026 FUND, L.P. filed Form D: $151,475,000 sold, Private Equity Fund
Evidence
- After
- Amendment: no; Fund type: Private Equity Fund; Amount sold: 151,475,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002140425-26-000001
$151M - Effective18 Sep 2026New investment vehicleinferenceMFO Fund, L.P., a Delaware limited partnership: new vehicle (Venture Capital Fund)
Evidence
- After
- Vehicle: MFO Fund, L.P., a Delaware limited partnership; Fund type: Venture Capital Fund; Amount sold: 0; Industry group: Pooled Investment Fund
- Confidence
- 80%
- Evidence
- How: related name; Accession: 0002155144-26-000003
- Effective11 Sep 2026New investment vehicleYoungblood Dominion Private Family Trust Co: new vehicle
Evidence
- After
- Vehicle: Youngblood Dominion Private Family Trust Co; Amount sold: 0; Industry group: Other Banking and Financial Services
- Confidence
- 90%
- Evidence
- How: issuer; Accession: 0002153998-26-000001
- Effective17 Sep 2026Form D filedMAC Opportunistic Master Fund IV, L.P. filed Form D: no sales yet, Other Investment Fund
Evidence
- After
- Amendment: no; Fund type: Other Investment Fund; Amount sold: 0; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002154405-26-000001
- Effective17 Sep 2026Form D filedMAC Opportunistic Fund IV, L.P. filed Form D: no sales yet, Other Investment Fund
Evidence
- After
- Amendment: no; Fund type: Other Investment Fund; Amount sold: 0; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002154411-26-000001
- Effective20 Aug 2026Fund gross assets up8 eventsSUMMIT PARTNERS PUBLIC ASSET MANAGEMENT, LLC: fund gross assets up, 3 counterparties, on 20 Aug 2026$253M to $691M
- SUMMIT PARTNERS CONCENTRATED GROWTH L/S MASTER FUND, L.P.: gross asset value $430.7M to $698.5M between the 2024-03-26 and 2026-08-20 filings (+62%)$268M
- SUMMIT PARTNERS SUSTAINABLE OPPORTUNITIES L/S QP FUND, L.P.: gross asset value $896.9M to $1.59bn between the 2024-03-26 and 2026-08-20 filings (+77%)$691M
- SUMMIT PARTNERS SUSTAINABLE OPPORTUNITIES L/S FUND LTD.: gross asset value $786.0M to $1.04bn between the 2024-03-26 and 2026-08-20 filings (+32%)$253M
- Effective11 Sep 2026Fund gross assets upPERMANENS PARTNERS FUND, L.P.: gross asset value $92.4M to $156.7M between the 2024-03-22 and 2026-09-11 filings (+70%)
Evidence
- Before
- GAV: 92,431,375; Filed: 2024-03-22
- After
- GAV: 156,700,787; Filed: 2026-09-11
- Evidence
- Parser: det-fo-1; Records: 1849672:217362 and pdf:157476:2026-09-11:panel:805-4417166673
$64.3M - Effective5 Aug 2026Form D filed6 eventsForm D filed: 6 on 5 Aug 2026$25.3M to $134M
- Acadian Sustainable Global Equity Fund, LLC filed Form D/A: $133,801,000 sold, Other Investment Fund$134M
- VISCOGLIOSI BROTHERS WATERMARK HOLDINGS, LLC filed Form D/A: $28,244,242 sold, Private Equity Fund$28.2M
- Integra Master Series LLC - Matters Capital Ventures filed Form D: $25,265,000 sold, Other Investment Fund$25.3M
- Effective18 May 2026New investment vehicleinferenceIntegra Master Series LLC - Matters Capital Ventures: new vehicle, $25,265,000 sold (Other Investment Fund)
Evidence
- After
- Vehicle: Integra Master Series LLC - Matters Capital Ventures; Fund type: Other Investment Fund; Amount sold: 25,265,000; Industry group: Pooled Investment Fund
- Confidence
- 80%
- Evidence
- How: related known; Accession: 0001213900-26-085501
$25.3M - Effective4 Sep 2026Fund gross assets downASCENT FOCUSED EQUITY LP: gross asset value $84.8M to $0.0M between the 2024-10-11 and 2026-09-04 filings (-100%)
Evidence
- Before
- GAV: 84,813,545; Filed: 2024-10-11
- After
- GAV: 0; Filed: 2026-09-04
- Evidence
- Parser: det-fo-1; Records: 1900335:308136 and pdf:220519:2026-09-04:panel:805-2096240960
down $84.8M - Effective4 Jun 2026New investment vehicle2 eventsMAI Capital Management: new investment vehicle, 2 counterparties, on 4 Jun 2026$34.0M to $91.1M
- Evoke Secondaries Fund VII (KHP VI), LP: new vehicle, $33,962,000 sold (Other Investment Fund)$34.0M
- MAI Co-Investment, LLC: new vehicle, $91,130,000 sold (Private Equity Fund)$91.1M
- Effective23 Jul 2026Form D filedValiant India Opportunities Fund, L.P. filed Form D/A: $117,800,000 sold, Hedge Fund
Evidence
- After
- Amendment: yes; Fund type: Hedge Fund; Amount sold: 117,800,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0000935836-26-000365
$118M - Effective12 Aug 2026New investment vehicleinferenceApplied Invest Power SPV, LLC: vehicle linked to Applied Invest Nordics AB by shared principal, $20,395,000 sold
Evidence
- After
- How: shared principal; Role: Executive Officer; Person: Spencer Seabaugh; Vehicle: Applied Invest Power SPV, LLC; Amount sold: 20,395,000
- Confidence
- 70%
- Evidence
- How: shared principal; Role: Executive Officer; Person: Spencer Seabaugh; Accession: 0002152505-26-000001
$20.4M - Effective8 Apr 2026New investment vehicleinferenceHaro Ross Holdings LLC: vehicle linked to Jaws Estates Capital by shared principal, $30,045,000 sold
Evidence
- After
- How: shared principal; Role: Executive Officer; Person: Matthew Walters; Vehicle: Haro Ross Holdings LLC; Amount sold: 30,045,000
- Confidence
- 70%
- Evidence
- How: shared principal; Role: Executive Officer; Person: Matthew Walters; Accession: 0002130776-26-000001
$30.0M - Effective6 May 2026Form D filedStonepeak Infrastructure Fund V - Master Co-Investment Partners LP filed Form D/A: $170,000,000 sold, Private Equity Fund
Evidence
- After
- Amendment: yes; Fund type: Private Equity Fund; Amount sold: 170,000,000; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0002011106-26-000005
$170M - Effective27 Apr 2026New investment vehicleinferenceNRC Private Equity Opportunities IV, L.P.: new vehicle, $30,000,000 sold (Private Equity Fund)
Evidence
- After
- Vehicle: NRC Private Equity Opportunities IV, L.P.; Fund type: Private Equity Fund; Amount sold: 30,000,000; Industry group: Pooled Investment Fund
- Confidence
- 80%
- Evidence
- How: related known; Accession: 0002132697-26-000001
$30.0M - Effective9 Sep 2026New investment vehicleinferenceVenture Capital Access Fund 1, L.P.: vehicle linked to Cresset by shared principal, $27,015,000 sold (Private Equity Fund)
Evidence
- After
- How: shared principal; Role: Executive Officer/Promoter; Person: Avy Stein; Vehicle: Venture Capital Access Fund 1, L.P.; Fund type: Private Equity Fund; Amount sold: 27,015,000
- Confidence
- 70%
- Evidence
- How: shared principal; Role: Executive Officer/Promoter; Person: Avy Stein; Accession: 0002062357-26-000413
$27.0M - Effective11 Sep 2026Form D filedYoungblood Dominion Private Family Trust Co filed Form D: no sales yet, Other Banking and Financial Services
Evidence
- After
- Amendment: no; Amount sold: 0; Industry group: Other Banking and Financial Services
- Confidence
- 100%
- Evidence
- Accession: 0002153998-26-000001
- Effective17 Apr 2026New investment vehicleinferenceGovWell Technologies Inc.: vehicle linked to Offit Capital by shared principal, $28,999,981 sold
Evidence
- After
- How: shared principal; Role: Director; Person: Jessica Lin; Vehicle: GovWell Technologies Inc.; Amount sold: 28,999,981
- Confidence
- 70%
- Evidence
- How: shared principal; Role: Director; Person: Jessica Lin; Accession: 0001470831-26-000428
$29.0M - Effective6 Jul 2026Form D filedAcadian U.S. Managed Volatility Equity Fund, LLC filed Form D/A: $91,661,940 sold, Other Investment Fund
Evidence
- After
- Amendment: yes; Fund type: Other Investment Fund; Amount sold: 91,661,940; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001516584-26-000001
$91.7M - Effective4 May 2026Form D filedACADIAN EMERGING MARKETS EQUITY FUND filed Form D/A: $4,484,475,214 sold, Other Investment Fund
Evidence
- After
- Amendment: yes; Fund type: Other Investment Fund; Amount sold: 4,484,475,214; Industry group: Pooled Investment Fund
- Confidence
- 100%
- Evidence
- Accession: 0001267697-26-000001
$4.5B
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