Trimaran Advisors Clo Vii Ltd

Trimaran Advisors Clo Vii Ltd is a securitized asset fund operated by Trimaran Advisors, Llc and has approximately $135 million in assets. The current minimum investment for Trimaran Advisors Clo Vii Ltd is $200000. 11 percent of the fund is owned by fund of funds. Management owns 11 percent of the fund.

Trimaran Advisors Clo Vii Ltd Overview

Fund Type: securitized asset  Trimaran Advisors Clo Vii Ltd is a securitized asset fund

Private Fund ID: 805-2221178885 Trimaran Advisors Clo Vii Ltd has a private fund ID of 805-2221178885

Fund Manager: Trimaran Advisors, Llc (Crd# 158256)

Registered Location: Cayman Islands

Total Assets: $135 million

Minimum Investment: $200000

Trimaran Advisors Clo Vii Ltd Details

Subadviser: No Is Trimaran Advisors Clo Vii Ltd a subadviser

Other Investment Advisers: No other investment advisors

Solicited: No  Does Trimaran Advisors Clo Vii Ltd solicit investments?

Rely on Reg D Exemption: No  Does Trimaran Advisors Clo Vii Ltd have a Reg D exemption?

Audited: No  Does Trimaran Advisors Clo Vii Ltd shave audited financial statements?

Master Fund: No  Is Trimaran Advisors Clo Vii Ltd a master fund?

Feeder Fund: No  Is Trimaran Advisors Clo Vii Ltd a feeder fund?

GAAP: No  Does Trimaran Advisors Clo Vii Ltd use GAAP?

Beneficial Owners: 1  1 has 1 beneficial owners.

Management Ownership: 11% 

Fund of Fund Ownership: 18%  

Non-US Ownership: 55%  Non-US ownership in Trimaran Advisors Clo Vii Ltd

Auditor(s):

Broker-Dealer(s):

Custodian(s): The Bank Of New York Mellon Corporation

Administrator(s): Maples Finance Limited

Trimaran Advisors Clo Vii Ltd Charts and Graphs

Total AUM: $135 million

column_171} total assets are $135 million

Rank: 8997 out of 30967 registered private funds

Minimum Investment: $200000

Trimaran Advisors Clo Vii Ltd has a minimum investment of $200000.

Rank: 17867 out of 30967 registered private funds

Management Ownership: 11%

Trimaran Advisors Clo Vii Ltd is 11% owned by its management.

Rank: 7971 out of 30967 registered private funds