Spvc Affiliates Fund I, LLC
A single-purpose vehicle, usually formed for one deal.
Nothing material in the last 365 days. Last change: 27 Mar 2018, Reported gross assets rose from $334K to $646K between the Form ADV filings of 7 Mar 2017 and 27 Mar 2018.
Amounts, each with its basis
- Vintage
- unknownno dated first sale or first report 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; file 021-1039498, sworn by the adviser or filed under this vehicle
- Form D sold
- unknown
- First sale
- unknown
- Reported GAV
- $645,903on the Form ADV filed Mar 27, 2018; the fund's assets, never its size or dry powder
- Owners (ADV)
- 34
- Reported on ADV
- Mar 16, 2012 to Mar 27, 2018no longer reported: wound down, transferred or renamed
Fundraising evidence
What counts as raisingA Form D offering is permission to sell, not a fund in market; an amount sold is never a close; an evergreen offering amended every year is not a raise.Lifecycle
Wound down
Lifecycle
The fund's own reporting through time
| Filed | Type | Gross asset value | Owners | Min. investment | Adviser-owned | Audit | |
|---|---|---|---|---|---|---|---|
| Mar 16, 2012 | Venture Capital Fund | $1.0M | 34 | $50,000 | 4% | yes | |
| Mar 28, 2012 | Venture Capital Fund | $1.0M | 34 | $50,000 | 4% | yes | |
| Mar 28, 2012 | Venture Capital Fund | $1.0M | 34 | $50,000 | 4% | yes | |
| Mar 15, 2013 | Venture Capital Fund | $766,675 | 34 | $50,000 | 4% | yes | |
| Apr 11, 2013 | Venture Capital Fund | $1.0M | 34 | $50,000 | 4% | yes | |
| Mar 11, 2014 | Venture Capital Fund | $887,609 | 34 | $50,000 | 4% | yes | |
| Oct 31, 2014 | Venture Capital Fund | $887,609 | 34 | $50,000 | 4% | yes | |
| Feb 26, 2015 | Venture Capital Fund | $520,678 | 34 | $50,000 | 4% | yes | |
| Mar 22, 2016 | Venture Capital Fund | $396,850 | 34 | $50,000 | 4% | yes | |
| Mar 7, 2017 | Venture Capital Fund | $334,315 | 34 | $50,000 | 4% | yes | |
| Mar 27, 2018 | Venture Capital Fund | $645,903 | 34 | $50,000 | 4% | yes |
Principals and agents
Service providers
- AuditorKPMG · MINNEAPOLIS, Minnesota, United StatesForm ADV filed Mar 27, 2018 sec.gov
- CustodianBank of America · SAN FRANCISCO, California, United StatesForm ADV filed Mar 27, 2018 sec.gov
Limited partners and their reported performance
Whose numbers these areEach row is the LP’s own number: its cash flows and its valuation policy as of its reporting date, not the fund’s. Net IRR is printed only when the LP prints one. The vintage is the LP’s definition (CalPERS: year of its first cash flow; WSIB: year of its initial investment).Known LPs and allocators
What these amounts and dates areA commitment date prints only when the source printed one; otherwise the row carries the date of the report that listed it. A foundation’s 990-PF line is a holding at fair value on its return, never a commitment.Investments attributed to this vehicle
Timeline
- May 30, 2014Spvc Affiliates Fund I, LLC no longer reported on Form ADV by Vesbridge Partners, LPFund no longer reported Inference Form ADV
- Mar 28, 2012Spvc Affiliates Fund I, LLC first reported on Form ADV by Vesbridge Partners, LP (Venture Capital Fund), GAV $1,013,839Fund first reported on Form ADV Fact Form ADV
Evidence
Every observation on this vehicle
Relationships across DFX
on 1 other DFX graph
Spvc Affiliates Fund I, LLC is the same institution as 1 record in RIA and Wealth.
The joined record opens with the product, beside every other relationship on this page.
Checking your plan…
Record history
- Fund dropped from ADV2014-05-30source on record
- Fund first reported on ADV2012-03-28source on record
The ledger records every merge, rename and reclassification this record went through and the dated filings observed on it, so the identity on this page can be traced to the records it was built from. The ledger's own sentences name other records, so they show with the names.