Firms, funds, people, portfolio companies and transactions from sworn filings and cited announcements, kept as a graph with a date and a source on every edge. Reported gross assets are never fund size, regulatory AUM is never dry powder, and a deal value prints only when someone disclosed it.

Funds / Credit Suisse Pathfinder Fund (cayman) Ltd.

Credit Suisse Pathfinder Fund (cayman) Ltd.

UnknownFund of fundsADV: Other Private FundCredit Suisse Asset Management, LLCCayman Islands
Amounts, each with its basis
Vintage
unknownno dated first sale, first report or announcement yet
Target
unknownnot announced
First close
unknownnever inferred from a Form D
Final close
unknownonly from an announcement or an LP disclosure
Announced size
unknown
Form D offering
unknownwhat may be sold, not what was raised
Form D sold
unknownno Form D on record
First sale
unknown
Reported gross assets
$1.1MForm ADV, as of Jun 6, 2013; not fund size, not dry powder
Peak reported gross assets
$131Mhighest year on the reporting tape
Owners (ADV)
1
Reported on ADV
Mar 30, 2012 to Jun 6, 2013
Structure
standalone
Fund of funds (ADV)
yes
Strategy
ADV 7.B.(1) fund of funds = Y
Lifecycle
Unknown
model: lc-pe-1missing: fewer than two reported years of gross asset valuegav path: 2012,131141157as of year: $2,012reported years: 1first reported year: $2,012
Reported gross assets by year
1 annual rows
YearFiledTypeGross assets OwnersMin. investmentNon-US ownedSource
2012Dec 11, 2012Other Private Fund$131M
1$1.0M0%adviserinfo.sec.gov
Placement agents and principals
0 placement agents, 0 principals
No placement agent or principal collected for this fund yet. Both come from the related persons and sales compensation sections of Form D.
Limited partners
0 disclosed
No LP commitment to this fund collected yet. An LP appears only when a public disclosure names this fund.
Investments attributed to this fund
0
No investment attributed to this fund. A firm’s investments sit on the firm; a fund gets one only when a source names the vehicle.
Events
1 most recent
  1. Mar 30, 2012
    Credit Suisse Pathfinder Fund (cayman) Ltd. first reported on Form ADV by Credit Suisse Asset Management, LLC (Hedge Fund), GAV $131,141,157