Such investments presently include opportunistic trades and hedging. These conflicts, which are disclosed in the Fund’s Offering Documents, include, without limitation: Index ComparisonThe Fund is actively managed and uses the MSCI World Total Return Index, Barclays Global Aggregate Index and HFRX Global Hedge Fund Index for performance comparison purposes only. President, Cerberus Global Investments, LLC and Global Head of Real Estate and Senior Managing Director, Cerberus Capital Management Alexander D. Benjamin ... Cerberus European Capital Advisors, LLP and Chairman, Cerberus Operations and Advisory Company Europe Paul J. Warmus P.G. Founded in 1992, Cerberus is a global leader in alternative investing with approximately $55 billion in assets across complementary credit, private equity, and … AUM as of June 30, 2021. There can be no assurance that BXDMS will achieve its investment objective or avoid significant losses. World’s largest discretionary investor in hedge funds 1 with $79 billion in AUM2, Over 100 investment professionals with experience across all of the key investment strategies, Disciplined investment and operational due diligence; proprietary risk management and technology, Deep, differentiated relationships with hedge fund talent. See “Risk Factors” of the prospectus for a detailed discussion of these and other risks applicable to the Fund. The Key Investor Information Document (‘KIID’), Prospectus and Supplement (collectively, the “Offering Documents”) contain this and other information about the Fund. Prior to that, Mr. Htoo worked in the Mergers & Acquisitions department of Morgan Stanley & Company’s Investment Banking Division. A&M Capital Opportunities (“AMCO”), with assets under management of approximately $500 million, is AMC’s lower middle-market growth strategy, focused on shared control and structured minority equity investments in North America. BX LCS invests primarily in below investment grade corporate credit. The parent company of a Sub-Adviser owns a controlling, majority interest in Arcesium and BAAM owns a non-controlling, minority interest in Arcesium. Advent Latin America Private Equity Fund V-H L.P. Such investments presently include allocations to structured notes providing exposure to investment portfolios managed by Bayforest Capital Limited and Trailstone Management Corporation and allocations to certain opportunistic trades that may be advised by Sub-Advisers on a non-discretionary basis. (“BSCA”), an affiliate of BAIA, manages certain funds (the “BSCA Funds”) that acquire equity interests in established alternative asset managers (the “Strategic Capital Managers”). (1) AUM as of 3/31/2021. Please note that other ratings agencies may offer ratings that vary from those for securities currently represented as “Investment Grade” or “Non‐Investment Grade.” Investment grade is a rating of a bond that has a relatively low risk of default. There can be no assurance the Fund will achieve its objectives or avoid significant losses. The Fund will not participate in any of the economic arrangements between the BSCA Funds and any Strategic Capital Manager with which the Fund invests. For example, a large-scale, quantitative hedge fund manager that sources, parses and consumes massive data sets might have a competitive edge. The data presented above is based on information obtained or derived from the Sub-Adviser. The price information contained herein is estimated and unaudited and subject to change. Robert Jordan is a Senior Managing Director of Blackstone and is a member of the Hedge Fund Solutions Special Situations Investing Group. Caspian invests in a variety of securities but has historically focused on three trading strategies: 1) stressed/distressed corporate situations; 2) capital structure arbitrage; and 3) value shorting. The information in this website is, therefore, not available to persons located in your country of residence. While the team has the ability to evaluate investments from a scientific perspective, the strategy is grounded in translating how industry trends and competitive dynamics may impact company fundamentals, with an emphasis on financial metrics. Accordingly, the exposures are presented for illustrative purposes only and should not be viewed as predictive of the ongoing composition of the Fund’s portfolio, which may change at any time. It should be appreciated that the value of Shares may go down as well as up. Typically, the Fund has other holdings that are also sensitive to currency exchange rates (e.g., physical currency and/or equity and fixed investments that are denominated in a currency). Prior to joining HSBC, Mr. Morris worked for PaineWebber in London. Mr. Htoo received a BA in Business Economics with Honors from Brown University. BERG LLC is a clinical-stage, artificial intelligence-powered biotech leveraging its proprietary platform, Interrogative Biology ®, to map disease and … For a discussion of this and other conflicts, please see the Additional Disclosure section at the end of this document. AUM includes committed but uncalled capital. Each investment position is generally judged on its own ability to generate profits consistent with its risk profile. VantagePoint Venture Partners 2006 (Q), L.P. Vicente Capital Partners Growth Equity Fund, L.P. Welsh, Carson, Anderson & Stowe XII, L.P. Yucaipa Corporate Initiatives Fund I, L.P. Yucaipa Corporate Initiatives Fund II, L.P. Mr. Jordan began his career at Susquehanna Investment Group, where he was a Trader of equity and sector index options after training in foreign currency options. Found inside – Page 626... 98 Black Canyon Capital LLC, 235 Black funds, 64 “Black Monday”, 13 blue-sky laws, ... 121–122 Castle Alternative Investment AG, 77 catastrophe bonds, ... Found inside – Page 73... 4 Churchill Capital 22 Bacchus Capital Management LLC 8 Cisco Systems Inc. ... Partners 34 European Investment Fund 46 Aureos Central Asia Managers Ltd. Cerberus’ investment strategy focuses on agency and non-agency mortgage-backed securities, interest rate products and synthetic indices. (Reuters) -European stocks fell on Friday, capping their third straight week in the red as the basic resources sector was hit by declines in Anglo American, but news that Britain was mulling easing travel restrictions boosted airlines and hotel groups. DESIM is a member of the D. E. Shaw group, a global investment and technology development firm that combines a rigorous quantitative approach with a complementary strategic focus on qualitative strategies. The value of BXDMS shares may go down as well as up and there can be no assurance that the Fund will achieve its investment objectives or avoid significant losses. Kent Chen, CFA is a Managing Director of Neuberger Berman and leader of the firm’s private equity efforts in the Asia Pacific region. Cerberus’ investment strategy focuses on agency and non-agency mortgage-backed securities, interest rate products and synthetic indices. In the event that an investor believes they have suffered loss as a result of the actions or inactions of the Fund or any relevant UCITS management company, an investor may seek to take proceedings against such parties in the Irish courts or, in certain circumstances, in the courts of another jurisdiction. Jasper is an institutionally focused quantitative investment manager that aims to take advantage of the idiosyncrasies of the Chinese A-share market regulatory environment and investor participant behavior. Nephila manages a variety of portfolios focusing on different natural catastrophe insurance-linked instruments that provide varying levels of risk profiles to investors. Found inside – Page 1497.4.4 The Initial ORBCOMM Business Like many European governments, ... (BCE) and later by Cerberus Capital management L.P. and TenX Capital Partners LLC, ... He has earned the right to use the Chartered Financial Analyst designation. (3) BAIA’s AUM is as of 3/31/2021 and is an estimate and unaudited. Previously, Mr. Sullens served as Manager of Alternative Investments for The Walt Disney Company, where he directed the company’s alternative investment program, including investments in private equity, real estate, venture capital and hedge funds. Cerberus seeks to generate attractive risk-adjusted returns for the portfolio from both current income and capital appreciation through investments … We partner with hedge fund managers, banks, corporations and even governments to source, underwrite and structure investments. This overlay hedging may seek to hedge excessive market, interest rate, currency, issuer or other investment risk. Positions are constructed for the portfolio with the goal of understanding the motivations of various market participants in order to arbitrage structures and ratings. Endeavour is an equity market neutral manager that invests across the financial services sector, with a style that combines bottom-up fundamental research with perspective on the macroeconomic, regulatory, and financial conditions that impact the industry. BAAM does not guarantee the accuracy and completeness of such information and provides no assurance regarding the performance, management or affairs of the Sub-Adviser. Following investment, Waterfall seeks to reduce market risks through conservative use of leverage and hedging strategies, and also seeks to reduce downside risk related to unanticipated credit events by proactively managing positions. Since our founding in 1990, Apollo's consistent, rigorous, value-oriented approach across private equity, credit, and real estate has made us one of the largest alternative asset managers serving many of the world’s most prominent investors. BAIA allocates its assets among a variety of discretionary investment advisers (“Sub-Advisers”) with experience managing non-traditional or “alternative” investment strategies. Found inside – Page 18... Markets Moore Fixed Income Moore Global Investments Angelo Gordon & Co. ... NY ) Atticus European Atticus Global Atticus International Brevan Howard ... Nephila leverages its CAT models, proprietary risk systems, meteorological forecasts and industry relationships to evaluate the reinsurance market. This important new work will be a valuable resource for scholars, policymakers, and the informed public alike. Get notified whenever news and updates are posted on this website. Cerberus seeks to generate attractive risk-adjusted returns for the portfolio from both current income and capital appreciation through investments in mortgage instruments. The value of the Fund’s shares may go down as well as up and there can be no assurance that the Fund will achieve its investment objectives or avoid significant losses. There can be no assurance that the Fund will achieve its goals or avoid losses. *Applicable Law and Regulation in this regard includes, but is not limited to, the Companies Act 2014, the European Communities (Undertakings for Collective Investment in Transferable Securities) Regulations 2011 and the Central Bank (Supervision and Enforcement) Act 2013 (Section 48(1)) (Undertakings for Collective Investment in Transferable Securities) Regulations 2019, the Irish Data Protection Acts 1988 to 2018, the General Data Protection Regulation (Regulation (EU) 2016/679), the EU ePrivacy Directive 2002/58/EC, each as amended or replaced from time to time. The data presented above is based on information obtained or derived from the Sub-Adviser. Apollo Hybrid Value Overseas Partners (Delaware 892), L.P. Broad Street Loan Partners III Offshore, LP, Canada Guaranty Mortgage Insurance Company. Found inside – Page 481... Waterland Private Equity Investments BV 1 42.485 26.4 WL Ross & Company LLC 1 ... The 1 82.000 27.9 Cerberus Capital Management LP 1 218.500 44.9 EQT ... Performance data quoted represents past performance and does not guarantee future results. The value of the Fund’s shares may go down as well as up and there can be no assurance that the Fund will achieve its investment objectives or avoid significant losses. The table is updated quarterly and provides information on the status of all active CalPERS private equity commitments; it doesn't include any exited partnership investments. Any allocation by Blackstone to a subsidiary or other affiliate benefits The Blackstone Group Inc. and any redemption or reduction of such allocation would be detrimental to The Blackstone Group Inc., creating potential conflicts of interest in allocation decisions. Learn more about Apollo Global Management here. Found inside – Page 321CARCO ELECTRONICS CASEY SYSTEMS CERBERUS GUINARD CHANNEL HOLDINGS plc CHATHAM ... EAST TRADING WEST INVESTMENTS L.L.C. 8X8 INC ELBIT LTD ELECTRO - DIGITAL ... Note: Past performance may not be a reliable guide to future performance. EJF forms differentiated views on financials investments by understanding the opportunities created by changes in the regulatory environment. BRESSA, a wholly-owned subsidiary of The Blackstone Group Inc. and an affiliate of BAIA, is an investment adviser within the Blackstone Real Estate Debt Strategies group (“BREDS”). He served as chairman and senior advisor to Portfolio Group from 2013 to 2016 and senior advisor to Cerberus Operations and Advisory Company, LLC, from 2007 to 2009. Exposure data reflects fund holdings as of the relevant trade date and includes unsettled trades. It is comprised of the U.S. Unless and until those investments are sold or mature into marketable securities, they will remain illiquid. Both the subscription agreement between an investor and the Fund and the constitutional document are governed by Irish law. Anglo American tumbled 8.1% after Morgan Stanley and UBS downgraded the stock. A&M Capital Opportunities (“AMCO”), with assets under management of approximately $500 million, is AMC’s lower middle-market growth strategy, focused on shared control and structured minority equity investments in North America. Your use of this website and the materials herein constitutes your acceptance of these terms of use. The Waterfall team performs intensive cash flow stress testing and due diligence on distressed situations. He was honored with The Wall Street Journal Award for earning the highest departmental GPA and was elected as a member of the Phi Beta Kappa Society and Omicron Delta Epsilon, the International Honor Society for Economics. Summit Partners Growth Equity Fund X-A, L.P. Towerbrook Structured Opportunities Fund (Onshore), L.P. Towerbrook Structured Opportunities Fund II (Onshore) LP. The strategy uses a combination of both qualitative and quantitative approaches to forecast expected returns for global assets based on modeling time-varying risk premia and various other dynamics in asset prices. Fünf Monate nach Inkrafttreten der Offenlegungsverordnung am 10. For S&P, “Investment Grade” bonds are those rated above BBB‐ and “Non‐Investment Grade” bonds are rated below Investment grade to D. “Not Rated” securities generally include securitizations where the issuer did not request a rating. He served as chairman and senior advisor to Portfolio Group from 2013 to 2016 and senior advisor to Cerberus Operations and Advisory Company, LLC, from 2007 to 2009. Get an overview of major world indexes, current values and stock market data. Prior to joining AEA in 2009, he worked at Merrill Lynch & Co., in its investment banking division. All investors are urged to carefully read the Offering Documents in their entirety before investing. In this role, Mr. Jaffe is actively involved in asset allocation, portfolio construction, and risk management. (1) Sub-Adviser is not currently managing any Fund assets. BRESSA’s investment strategy for the Fund primarily focuses on credit-oriented, liquid high-yield real estate investments including CMBS, RMBS, corporate debt, CDOs, CLOs, CMBX and REITs and seeks to identify relative value opportunities between asset classes. Prior to joining AEA in 2009, he worked at Merrill Lynch & Co., in its investment banking division. (1) Blackstone and its affiliates have financial interests in asset managers. A European investment manager with about $11 billion in assets: $230,000,000 : The European investment manager with about $11 billion in assets. The prospectus and, if available, a summary prospectus, contain this and other information about the Fund. The strategies are asset weighted based on the distribution of assets in the hedge fund industry. Before joining Blackstone in 2011, Mr. Jordan worked as a Portfolio Manager in fundamental equity and Head of Special Projects for Xaraf Management, a multi-strategy hedge fund manager. Visit now! Additionally, to the extent that securities increase in value relative to the market, positions may realize capital appreciation. Idea generation for the portfolio begins with top down views and fundamental credit analysis; however, Cerberus has historically generated value for the portfolio through trade execution. Patria Brazilian Private Equity Fund V, L.P. Riverstone Global Energy and Power Fund V, L.P. Riverstone Global Energy and Power Fund VI, L.P. Riverstone/Carlyle Global Energy and Power Fund IV, L.P. Riverstone/Carlyle Renewable & Alternative Energy Fund II, L.P. Riverwood Capital Partners (Parallel - A) L.P. Found inside – Page 2... 1 billion Sole Financial Advisor on disposal of Baubecon Immobilien GmbH and selected BGAG properties to Cerberus European Investments , LLC Undisclosed ... Found inside – Page 2Gold-Plating and Green-Plating of European Environmental Law Lorenzo Squintani ... 6 Seejoint statement by Fiat S.p.A., Chrysler LLC and Cerberus 2 ... Get an overview of major world indexes, current values and stock market data. Ms. Downey advises fund sponsors and financial institutions across a broad range of asset classes, including private … Using real-life examples and case studies, this book provides an intensive learning experience, and helps readers understand the investment strategies of hedge funds showing them how they can invest to make money in an uncorrelated way with ... The General Partners have 120 days to provide Limited Partners with financial data, so there is generally a 2-quarter delay in performance reporting. Prior to joining Cerberus, Bhavin worked as an investment banking analyst at Goldman Sachs in their New York office. Found insideThis updated and revised edition outlines strategies and models for how to use technology and knowledge to improve performance, create jobs and increase income. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost and current performance may be lower or higher than the performance data quoted. Blackstone does not guarantee the accuracy andcompleteness of such information and provides no assurance regarding the performance, management or affairs of the Sub-Adviser. All investors should consider the investment objectives, risks, charges and expenses of the Fund), carefully before investing. Overall, EIM assets at risk are less than 2% of what it manages. BOTS, Inc./VisionBank, based in Topeka, Kansas, recently announced its pending sale to Community Bancshares, … The strategy involves investing in equity securities of companies that are the targets of merger transactions in an effort to capture the difference in the value of the target company and its price in the marketplace. UniCredit SpA: Italian Bank: $92,390,000 Blackstone Strategic Alliance Advisors L.L.C. (2) Magnetar was formed in 2016 and is an affiliate of Magnetar Financial LLC, which was founded in 2005. Mr. Chan began his career as a consultant with Oliver Wyman. Chris Basham is with TPG Capital and is based in San Francisco. The strategy for the Fund invests across industry sectors, with a focus ontrading equities and equity indices. Net IRR is the Net Internal Rate of Return based on CalPERS’ actual cash flows and the reported value of the invested capital. One example is the U.S. government mandating that Fannie Mae and Freddie Mac reduce their credit risk to stay solvent with the objective of ensuring their ability to continue issuing mortgages for the greater good of the economy. An overview of major world indexes, current values and stock market data asset managers, corporations even... In one solution flows and the materials herein constitutes your acceptance of and. In relation to the market, positions may realize capital appreciation and of. Monitors special situations, such as debt restructurings, as well as portfolio management for all BAAM! Seiga asset management and MSCI, as applicable its investment objective is achieve... With valuation work focusing on market inefficiencies and idiosyncratic ideas provide diversified exposures that translated! For those who are smart enough to pick it up. 2016 and is in. A brief summary of examples of the Fund ’ s investment with a on... 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