Fund Name: | BlackRock Credit Strategies Fund |
Adviser: | BlackRock Advisors, LLC |
Sub-Adviser(s): | BlackRock International Limited and BlackRock (Singapore) Limited |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Interval fund; Quarterly repurchase) |
Investor Restrictions: | Not specified |
Filing Date: | September 21, 2018 |
Effective Date: | Pending |
Fund Name: | Nuveen High Income 2023 Target Term Fund |
Adviser: | Nuveen Fund Advisors, LLC |
Sub-Adviser(s): | Nuveen Asset Management |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Exchange Traded, NYSE) |
Investor Restrictions: | $1,000 minimum initial investment |
Filing Date: | September 21, 2018 |
Effective Date: | Pending |
Fund Name: | 1WS Credit Income Fund |
Adviser: | 1WS Capital Advisors, LLC |
Sub-Adviser(s): | None |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Quarterly repurchase; interval fund) |
Investor Restrictions: | $25,000 minimum initial investment, $25,000 subsequent investments. |
Filing Date: | August 10, 2018 |
Effective Date: | Pending |
Fund Name: | Eagle Point Income Company LLC |
Adviser: | Eagle Point Credit Management LLC |
Sub-Adviser(s): | None |
Fees: | Not specified |
Open- or Closed-End: | Closed-End |
Investor Restrictions: | None |
Filing Date: | July 13, 2018 |
Effective Date: | Pending |
Fund Name: | Angel Oak Financial Strategies Income Term Trust |
Adviser: | Angel Oak Capital Advisors, LLC |
Sub-Adviser(s): | None |
Fees: | 1.73% Management Fee |
Open- or Closed-End: | Closed-End (Limited term; repurchase offer within 12 months prior to Fund termination date in 2030) |
Investor Restrictions: | Minimum purchase of 100 shares priced at $10.00 each |
Filing Date: | June 28, 2018 |
Effective Date: | Pending |
Fund Name: | BlackRock Multi-Sector Opportunities Trust II |
Adviser: | BlackRock Advisors, LLC |
Sub-Adviser(s): | BlackRock International Limited and BlackRock (Singapore) Limited |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Quarterly repurchase) |
Investor Restrictions: | Unspecified minimum initial investment |
Filing Date: | June 20, 2018 |
Effective Date: | Pending |
Fund Name: | Oppenheimer ILS Interval Fund |
Adviser: | OFI Global Asset Management, Inc. |
Sub-Adviser(s): | OppenheimerFunds, Inc. |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Quarterly repurchase; Interval fund) |
Investor Restrictions: | Unspecified minimum initial investment |
Filing Date: | June 13, 2018 |
Effective Date: | Pending |
Fund Name: | American Beacon Apollo Total Return Fund |
Adviser: | American Beacon Advisors, Inc. |
Sub-Adviser(s): | Apollo Credit Management, LLC |
Fees: | 1.44% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase; Interval fund) |
Investor Restrictions: | $100,000 minimum initial investment, no minimum subsequent investment |
Filing Date: | June 11, 2018 |
Effective Date: | Pending |
Fund Name: | CPG Focused Access Fund, LLC |
Adviser: | Central Park Advisers, LLC |
Adviser: | None |
Fees: | 0.55% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase after first four quarters of operation) |
Investor Restrictions: | Accredited investor; $50,000 minimum initial investment, $10,000 minimum subsequent investment (private offering) |
Filing Date: | June 6, 2018 |
Effective Date: | June 6, 2018 |
Fund Name: | Cresset Private Equity Opportunity Fund |
Adviser: | Cresset SPG, LLC |
Sub-Adviser(s): | None |
Fees: | 1.25% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase) |
Investor Restrictions: | Accredited investor, qualified client; $100,000 minimum initial investment, $10,000 minimum subsequent investment |
Filing Date: | May 25, 2018 |
Effective Date: | Pending |
Fund Name: | Hatteras Reinsurance Fund |
Adviser: | Hatteras Funds, LP |
Sub-Adviser(s): | Not specified |
Fees: | 1.7% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase; Interval fund) |
Investor Restrictions: | $5 million minimum investment |
Filing Date: | May 15, 2018 |
Effective Date: | Pending |
Fund Name: | City National Rochdale Strategic Credit Fund |
Adviser: | City National Rochdale, LLC |
Sub-Adviser(s): | CIFC |
Fees: | 1.5% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase; Interval fund) |
Investor Restrictions: | $1 million minimum initial investment |
Filing Date: | May 14, 2018 |
Effective Date: | Pending |
Fund Name: | Hedge Fund Guided Portfolio Solution |
Adviser: | Grosvenor Capital Management, L.P. |
Sub-Adviser(s): | None |
Fees: | 0.55% Advisory Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase) |
Investor Restrictions: | Accredited investor; $25,000 minimum initial investment; $1,000 minimum subsequent investment |
Filing Date: | April 26, 2018 |
Effective Date: | Pending |
Fund Name: | FS Multi-Alternative Income Fund |
Adviser: | FS Multi-Alternative Advisor, LLC |
Sub-Adviser(s): | GoldenTree Asset Management Credit Advisor LLC, KKR Credit Advisors (US) LLC and StepStone Group Real Estate LP. |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Quarterly repurchase; Interval fund) |
Investor Restrictions: | $2,500 minimum initial investment for regular accounts, $1,000 for retirement plan accounts, $100 minimum subsequent investment for regular accounts, $50 for retirement plan accounts (Class A, L, M and T); $1 million minimum initial investment, no restrictions on subsequent investments (Class I) |
Filing Date: | April 17, 208 |
Effective Date: | Pending |
Fund Name: | Variant Alternative Income Fund |
Adviser: | Variant Investments, LLC |
Sub-Adviser(s): | None |
Fees: | 0.95% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase; Interval fund) |
Investor Restrictions: | Accredited investor; $1 million minimum initial investment (Institutional class shares); $25,000 minimum initial investment (Investor class shares) |
Filing Date: | April 13, 2018 |
Effective Date: | Pending |
Fund Name: | Nuveen Emerging Markets Debt 2025 Term Fund |
Adviser: | Nuveen Fund Advisors, LLC |
Sub-Adviser(s): | Teachers Advisors, LLC |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Exchange traded - NYSE) |
Investor Restrictions: | Minimum investment of 100 common shares |
Filing Date: | April 13, 2018 |
Effective Date: | Pending |
Fund Name: | Nuveen Impact Bond 2025 Term Fund |
Adviser: | Nuveen Fund Advisors, LLC |
Sub-Adviser(s): | Teachers Advisors, LLC |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Exchange traded - NYSE) |
Investor Restrictions: | Minimum investment of 100 common shares |
Filing Date: | April 13, 2018 |
Effective Date: | Pending |
Fund Name: | Symmetry Panoramic Alternatives Fund |
Adviser: | Symmetry Partners, LLC |
Sub-Adviser(s): | None |
Fees: | 1.29% Management Fee |
Open- or Closed-End: | Open-End |
Investor Restrictions: | $1,000 minimum initial investment; $100 minimum subsequent investment |
Filing Date: | April 5, 2018 |
Effective Date: | Pending |
Fund Name: | Cliffwater Direct Lending Fund |
Adviser: | Cliffwater LLC |
Sub-Adviser(s): | Not specified |
Fees: | 1% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase; Interval fund) |
Investor Restrictions: | $10,000 minimum initial investment (Class A and B), $1 million minimum initial investment (Class I); $5,000 minimum subsequent investment. |
Filing Date: | March 30, 2018 |
Effective Date: | Pending |
Fund Name: | Capitala Finance Corp. |
Adviser: | Capitala Investment Advisors, LLC |
Sub-Adviser(s): | None |
Fees: | 1.75% Management Fee; Incentive fee consisting of two parts: i) A quarterly amount of 20% of "pre-incentive fee net investment income" for the immediately preceding quarter, subject to a 2% preferred return and a "catch up" feature and ii) An annual amount equal to 20% of realized capital gains, if any, on a cumulative basis from inception through the end of each calendar year. |
Open- or Closed-End: | Closed-End (Business Development Company) |
Investor Restrictions: | None |
Filing Date: | March 20, 2018 |
Effective Date: | Pending |
Fund Name: | Dreyfus Alcentra Multi-Strategy Global Credit Fund, Inc. |
Adviser: | The Dreyfus Corporation |
Sub-Adviser(s): | Alcentra NY, LLC |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Quarterly repurchase) |
Investor Restrictions: | Unspecified minimum investment |
Filing Date: | March 2, 2018 |
Effective Date: | Pending |
Fund Name: | SCS Insurance Opportunities Fund |
Adviser: | Sentinel Capital Solutions, Inc. |
Sub-Adviser(s): | None |
Fees: | 1% Management Fee |
Open- or Closed-End: | Closed-End (Exchange traded - NYSE) |
Investor Restrictions: | Unspecified minimum investment |
Filing Date: | March 2, 2018 |
Effective Date: | Pending |
Fund Name: | Flat Rock Opportunity Fund |
Adviser: | Flat Rock Global, LLC |
Sub-Adviser(s): | None |
Fees: | 1.375% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase) |
Investor Restrictions: | $20,000 minimum initial investment; $1,000 minimum subsequent investment |
Filing Date: | Feb. 20, 2018 |
Effective Date: | Pending |
Fund Name: | American Beacon Sound Point Enhanced Income Fund |
Adviser: | American Beacon Advisors, Inc. |
Sub-Adviser(s): | Sound Point Capital Management, LP |
Fees: | Not specified |
Open- or Closed-End: | Closed-End (Quarterly repurchase) |
Investor Restrictions: | $100,000 minimum initial investment; $50 minimum subsequent investment |
Filing Date: | Feb. 9, 2018 |
Effective Date: | Pending |
Fund Name: | Angel Oak Financial Institutions Trust |
Adviser: | Angel Oak Capital Advisors, LLC |
Sub-Adviser(s): | None |
Fees: | 1.15% Management Fee |
Open- or Closed-End: | Closed-End (Repurchase of shares to be considered at least annually) |
Investor Restrictions: | Unspecified minimum initial investment |
Filing Date: | Feb. 9, 2018 |
Effective Date: | Pending |
Fund Name: | Weiss Strategic Interval Fund |
Adviser: | Weiss Multi-Strategy Advisers LLC |
Sub-Adviser(s): | None |
Fees: | 1.5% Management Fee |
Open- or Closed-End: | Closed-End (Quarterly repurchase) |
Investor Restrictions: | Accredited investors |
Filing Date: | Feb.1, 2018 |
Effective Date: | Feb.1, 2018 |
ARTICLE
8 October 2018
Public Alternative Funds Archive - 2018
An annual amount equal to 20% of realized capital gains, if
any, on a cumulative basis from inception through the end of each
calendar year