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 / Crown European Buyout Opportunities II Plc

Crown European Buyout Opportunities II Plc

HarvestFund of fundsADV: Private Equity FundLGT Capital Partners (ireland) LimitedIreland
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
$68.6MForm ADV, as of Mar 27, 2024; not fund size, not dry powder
Peak reported gross assets
$551Mhighest year on the reporting tape
Owners (ADV)
53
Reported on ADV
Mar 30, 2012 to Mar 27, 2024
Structure
standalone
Fund of funds (ADV)
yes
Strategy
ADV 7.B.(1) fund of funds = Y
Lifecycle
Harvest
rule: gross assets at least 25% below peak and still fallingmodel: lc-pe-1gav path: 2017,373763897,2018,356334580,2019,261643821,2020,209058718,2021,170457151,2022,141646830,2023,80145604,2024,68647062peak gav: $551Mas of year: $2,024latest gav: $68.6Mreported years: 13last step change: -0.143age years at as of: 12drawdown from peak: 0.876first reported year: $2,012
Reported gross assets by year
13 annual rows
YearFiledTypeGross assets OwnersMin. investmentNon-US ownedSource
2012Mar 30, 2012Private Equity Fund$450M
44$324,70089%adviserinfo.sec.gov
2013Mar 28, 2013Private Equity Fund$531M
44$329,82589%adviserinfo.sec.gov
2014Jul 9, 2014Private Equity Fund$209M
42$344,50088%adviserinfo.sec.gov
2015Apr 23, 2015Private Equity Fund$551M
53$302,52588%adviserinfo.sec.gov
2016Mar 29, 2016Private Equity Fund$450M
54$271,75088%adviserinfo.sec.gov
2017Mar 30, 2017Private Equity Fund$374M
53$263,75088%adviserinfo.sec.gov
2018Sep 13, 2018Private Equity Fund$356M
53$300,13788%adviserinfo.sec.gov
2019Mar 28, 2019Private Equity Fund$262M
53$285,85088%adviserinfo.sec.gov
2020Mar 24, 2020Private Equity Fund$209M
52$280,62588%adviserinfo.sec.gov
2021Apr 1, 2021Private Equity Fund$170M
52$305,85088%adviserinfo.sec.gov
2022Mar 29, 2022Private Equity Fund$142M
43$284,31287%adviserinfo.sec.gov
2023Mar 30, 2023Private Equity Fund$80.1M
36$266,66388%adviserinfo.sec.gov
2024Mar 27, 2024Private Equity Fund$68.6M
53$276,21383%adviserinfo.sec.gov
Placement agents and principals
1 placement agents, 0 principals
  • LGT Capital Partners Ltd placement agent since Jan 1, 2012 Fact
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
    Crown European Buyout Opportunities II Plc first reported on Form ADV by LGT Capital Partners (ireland) Limited (Private Equity Fund), GAV $450,203,642