Oak Hill Capital Management Partners Ii, L.P.
Oak Hill Capital Management Partners Ii, L.P. is a private equity fund operated by Oak Hill Capital Management, Llc and has approximately $2.8 million in assets. The current minimum investment for Oak Hill Capital Management Partners Ii, L.P. is $10000000. Management owns 23 percent of the fund. Oak Hill Capital Management Partners Ii, L.P. is one of the smaller private funds with only 2.8 million in assets.
Oak Hill Capital Management Partners Ii, L.P. Overview
Fund Type: private equity
Private Fund ID: 805-5185996732
Fund Manager: Oak Hill Capital Management, Llc (Crd# 136656)
Registered Location: Delaware, United States
Total Assets: $2.8 million
Minimum Investment: $10000000
Private Funds Managed by Oak Hill Capital Management, Llc (25): Ohcp Iv Img Coi Lp, Oak Hill Capital Management Partners Bermuda Lp , Oak Hill Capital Management Partners Ii Cayman Lp , Oak Hill Capital Management Partners Ii Lp , Oak Hill Capital Management Partners Iii Lp , Oak Hill Capital Management Partners Lp , Oak Hill Capital Partners Bermuda Lp , Oak Hill Capital Partners Ii Cayman Ii Lp , Oak Hill Capital Partners Ii Cayman Lp , Oak Hill Capital Partners Ii Lp , Oak Hill Capital Partners Iii Aiv I Lp , Oak Hill Capital Partners Iii Aiv Ii Lp , Oak Hill Capital Partners Iii Lp , Oak Hill Capital Partners Iv Management Lp , Oak Hill Capital Partners Iv Offshore 892 Lp , Oak Hill Capital Partners Iv Offshore Lp , Oak Hill Capital Partners Iv Onshore Tax Exempt Lp , Oak Hill Capital Partners Iv Onshore Lp , Oak Hill Capital Partners Lp , Ohcp Dr Co Investors 2007 Llc , Ohcp Dr Co Investors 2009 Llc , Ohcp Dr Co Investors Llc , Ohcp Iii Bc Coi Lp , Ohcp Iii Fr Coi Lp , Ohcp Iii Hc Ro Lp
Oak Hill Capital Management Partners Ii, L.P. Details
Subadviser: No
Other Investment Advisers: No
Solicited: No
Rely on Reg D Exemption: Yes
Audited: Yes
Master Fund: Yes
Feeder Fund: No
GAAP: Yes
Beneficial Owners: 73
Management Ownership: 23%
Fund of Fund Ownership: 0%
Non-US Ownership: 0%
Auditor(s): KPMG, LLP
Broker-Dealer(s):
Custodian(s): Credit Suisse Securities (USA) LLC, ,
Administrator(s): SEI Global Services
Oak Hill Capital Management Partners Ii, L.P. Charts and Graphs
Total AUM: $2.8 million
Rank: 25809 out of 30967 registered private funds
Minimum Investment: $10000000
Rank: 1262 out of 30967 registered private funds
Management Ownership: 23%
Rank: 5745 out of 30967 registered private funds
Go back to private fund search