Altira Technology Fund VI LP

Fundmanaged by Altira Group LLC· Delaware
Vintage
2012
Form D sold
$18.8M
Reported gross assets
$511M
Form ADV, Mar 25, 2026
HarvestFundraising status unknownADV: Venture Capital Fund
More
As of · the latest observation of this vehicle; each figure below carries its own filing date

3 events

Every relationship, signal and contact on this record, with the source on each.

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

What matters now

  1. +28%
    reported GAV

    Reported gross assets rose from $399M to $511M between the Form ADV filings of 29 Mar 2024 and 25 Mar 2026.

    The fund's assets as the adviser swears them, never its size or dry powder.

    Derivedtwo Form ADV Schedule D filingsFor LPs, secondaries buyersReporting →
Drawing the relationship network…
Amounts, each with its basis
Vintage
2012basis: form d first sale
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
$175Mwhat may be sold, not what was raised; file 021-181861, sworn by the adviser or filed under this vehicle
Form D sold
$18.8Mas of the filing of Jul 30, 2013, 5 investors
First sale
Jul 27, 2012
Reported GAV
$511Mon the Form ADV filed Mar 25, 2026; the fund's assets, never its size or dry powder
Owners (ADV)
30
Reported on ADV
Mar 19, 2013 to Mar 25, 2026
Fundraising evidence
Unknown
latest Form D 2013-07-30, older than 15 months (fr-1)
evidence dated Jul 30, 2013.
Lifecycle
Harvest
vintage over 7 years, still reported
age years: 14first sale: Jul 27, 2012vintage year: 2012adv gav as of: Mar 25, 2026vintage basis: Form d first saleform d sold: $18.8Mform d offering: $175Mform d latest filed at: Jul 30, 2013
The fund's own reporting through time
16 Form ADV filings
FiledTypeGross asset value OwnersMin. investmentAdviser-ownedAudit
Mar 19, 2013Venture Capital Fund$14.7M
2$5.0M1%yes
Mar 21, 2014Venture Capital Fund$122M
28$5.0M1%yes
Mar 11, 2015Venture Capital Fund$119M
31$5.0M1%yes
Sep 10, 2015Venture Capital Fund$119M
31$5.0M1%yes
Feb 17, 2016Venture Capital Fund$110M
31$5.0M1%yes
Mar 14, 2017Venture Capital Fund$109M
31$5.0M1%yes
Sep 18, 2017Venture Capital Fund$109M
31$5.0M1%yes
Mar 30, 2018Venture Capital Fund$127M
31$5.0M1%yes
Mar 29, 2019Venture Capital Fund$153M
30$5.0M1%yes
Mar 30, 2020Venture Capital Fund$186M
30$5.0M1%yes
Mar 30, 2021Venture Capital Fund$273M
30$5.0M1%yes
Mar 29, 2022Venture Capital Fund$417M
30$5.0M1%yes
Mar 30, 2023Venture Capital Fund$359M
30$5.0M1%yes
Mar 31, 2023Venture Capital Fund$359M
30$5.0M1%yes
Mar 29, 2024Venture Capital Fund$399M
30$5.0M1%yes
Mar 25, 2026Venture Capital Fund$511M
30$5.0M1%
Principals and agents
3 principals on Form D, 0 placement agents
Service providers
3 named on Form ADV Schedule D and Form D
Limited partners and their reported performance
0 public LP reports
No public LP has reported this vehicle. The LP tape is read from public pension disclosures (see Limited partners); a fund appears here only when an LP’s report names it.
Known LPs and allocators
2 relationships, public pensions and the allocator graph, each counted once
AllocatorTypeAmountDateSource
Richard King Mellon Foundation Dtd 01-01-47FOUNDATION$13.3M
fair value on the foundation's return
reported as of Dec 31, 2024Fact IRS Form 990 / 990-PF e-file returns
Hillman Family FoundationsFOUNDATION$10.8M
fair value on the foundation's return
reported as of Dec 31, 2024Fact IRS Form 990 / 990-PF e-file returns
Investments attributed to this vehicle
0
No investment attributed to this vehicle. The firm’s investments sit on the firm; a fund gets one only when a source names the vehicle.
Timeline
8 events
  1. Mar 25, 2026
    Administrator changed: MERITAGE ACCOUNTING GROUP replaced SS&C, first reported on the Form ADV filed March 25, 2026 (previous filing March 18, 2025)
    Administrator changed Fact Form ADV
  2. Mar 30, 2023
    Administrator changed: SS&C replaced COMPLETE FINANCIAL OPS, INC., first reported on the Form ADV filed March 30, 2023 (previous filing March 29, 2022)
    Administrator changed Fact Form ADV
  3. Mar 29, 2019
    Auditor changed: PLANTE & MORAN, PLLC replaced EKS&H LLLP, first reported on the Form ADV filed March 29, 2019 (previous filing March 30, 2018)
    Auditor changed Fact Form ADV
  4. Feb 17, 2016
    Custodian changed: UBS FINANCIAL SERVICES INC. replaced BNY, first reported on the Form ADV filed February 17, 2016 (previous filing September 10, 2015)
    Custodian changed Fact Form ADV
  5. Mar 11, 2015
    Auditor changed: EKS&H LLLP replaced KPMG, first reported on the Form ADV filed March 11, 2015 (previous filing March 21, 2014)
    Auditor changed Fact Form ADV
Evidence
30 observations
Every observation on this vehicle
  • Entity type: Limited Partnership Jul 30, 2013 Fact Form D
  • Entity type: Limited Partnership Jul 27, 2012 Fact Form D
  • Form D fund type: Venture Capital Fund Jul 30, 2013 Fact Form D
  • Form D fund type: Venture Capital Fund Jul 27, 2012 Fact Form D
  • Form D industry group: Pooled Investment Fund Jul 30, 2013 Fact Form D
  • Form D industry group: Pooled Investment Fund Jul 27, 2012 Fact Form D
  • Amendment: true Jul 30, 2013 Fact Form D
  • Amendment: false Jul 27, 2012 Fact Form D
  • Revenue range (Form D): Not Applicable Jul 30, 2013 Fact Form D
  • Revenue range (Form D): Not Applicable Jul 27, 2012 Fact Form D
  • Incorporated: withinFiveYears Jul 30, 2013 Fact Form D
  • Incorporated: yetToBeFormed Jul 27, 2012 Fact Form D
  • Jurisdiction: Delaware Jul 30, 2013 Fact Form D
  • Jurisdiction: Delaware Jul 27, 2012 Fact Form D
  • Amount sold (Form D): $18.8M Jul 30, 2013 Fact Form D
  • Amount sold (Form D): $0 Jul 27, 2012 Fact Form D
  • Offering amount (Form D): $175M Jul 30, 2013 Fact Form D
  • Offering amount (Form D): $175M Jul 27, 2012 Fact Form D
  • Exemptions: 06, 3C, 3C.7 Jul 30, 2013 Fact Form D
  • Exemptions: 06, 3C, 3C.7 Jul 27, 2012 Fact Form D
  • First sale: 2012-07-27 Jul 30, 2013 Fact Form D
  • Investors (Form D): 5 Jul 30, 2013 Fact Form D
  • Investors (Form D): 0 Jul 27, 2012 Fact Form D
  • Minimum investment (Form D): 0 Jul 30, 2013 Fact Form D
  • Minimum investment (Form D): 0 Jul 27, 2012 Fact Form D
  • Securities offered: pooled Jul 30, 2013 Fact Form D
  • Securities offered: pooled Jul 27, 2012 Fact Form D
  • Office address: Jul 30, 2013 Fact Form D
  • Office address: Jul 27, 2012 Fact Form D
  • Year of incorporation: 2012 Jul 30, 2013 Fact Form D

Relationships across DFX

on 2 other DFX graphs
Across the graphs

Altira Technology Fund VI LP is the same institution as 2 records in Allocators and RIA and Wealth.

Allocators1RIA and Wealth1

DFX found 2 relationships across 2 datasets

Which record it is in each graph, what it is called there, and how the two were matched.

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

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Record history

3 dated events on the change ledger, latest event first
  • Form D filed
    2013-07-30source on record
  • Fund first reported on ADV
    2013-03-19source on record
  • Form D filed
    2012-07-27source 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.