Anchorage Capital Clo 3, Ltd.
Anchorage Capital Clo 3, Ltd. is a securitized asset fund operated by Anchorage Capital Group, L.L.C. and has approximately $495.8 million in assets. There is currently no minimum investment for Anchorage Capital Clo 3, Ltd. . Management has no ownership stake in the fund.
Anchorage Capital Clo 3, Ltd. Overview
Fund Type: securitized asset
Private Fund ID: 805-4217300373
Fund Manager: Anchorage Capital Group, L.L.C. (Crd# 135657)
Registered Location: Cayman Islands
Total Assets: $495.8 million
Minimum Investment: $0
Private Funds Managed by Anchorage Capital Group, L.L.C. (23): Anchorage Illiquid Opportunities Offshore Master Lp, Aio Iii Aiv Lp , Aio Iv Aiv Trust , Aio Iv Aiv Lp , Aio V Aiv Lp , Anchorage Capital Master Offshore Ltd , Anchorage Illiquid Opportunities Offshore Master Ii Lp , Anchorage Illiquid Opportunities Offshore Master Iii Lp , Anchorage Illiquid Opportunities Offshore Master Iv Lp , Anchorage Illiquid Opportunities Offshore Master V Lp , Anchorage Capital Clo 2012 1 Ltd , Anchorage Capital Clo 2013 1 Ltd , Anchorage Capital Clo 3 Ltd , Anchorage Capital Clo 4 Ltd , Anchorage Capital Clo 5 Ltd , Anchorage Capital Clo 6 Ltd , Anchorage Capital Clo 7 Ltd , Anchorage Capital Clo 8 Ltd , Anchorage Capital Clo 9 Ltd , Anchorage Credit Funding 1 Ltd , Anchorage Credit Funding 2 Ltd , Anchorage Credit Funding 3 Ltd , Anchorage Credit Funding 4 Ltd
Anchorage Capital Clo 3, Ltd. Details
Subadviser: No
Other Investment Advisers: No
Solicited: No
Rely on Reg D Exemption: No
Audited: No
Master Fund: No
Feeder Fund: No
GAAP: No
Beneficial Owners: 0
Management Ownership: 0%
Fund of Fund Ownership: 0%
Non-US Ownership: 0%
Auditor(s):
Broker-Dealer(s):
Custodian(s): U.S. Bank National Association
Administrator(s): Intertrust Spv (Cayman) Limited
Anchorage Capital Clo 3, Ltd. Charts and Graphs
Total AUM: $495.8 million
Rank: 3358 out of 30967 registered private funds
Minimum Investment: $0
Rank: 25527 out of 30967 registered private funds
Management Ownership: 0%
Rank: 21788 out of 30967 registered private funds
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