ARTICLE
23 October 2019

New Public Alternative Funds - October 17, 2019

KL
Kramer Levin Naftalis & Frankel LLP

Contributor

Kramer Levin provides its clients proactive, creative and pragmatic solutions that address today’s most challenging legal issues. The firm is headquartered in New York with offices in Silicon Valley and Paris and fosters a strong culture of involvement in public and community service. For more information, visit www.kramerlevin.com
New Public Alternative Funds - October 17, 2019
United States Finance and Banking
Fund Name: Keystone Private Income Fund
Adviser: Keystone National Group, LLC
Sub-Adviser(s): None
Fees: 1.5% Management Fee; Distribution Fee based on share class
Open- or Closed-End: Closed-End (quarterly distributions)
Investor Restrictions: Minimum initial investment for Class A Shares and Class Y Shares is $50,000, for Class D Shares and Class I Shares is $5,000,000, and for Class Z Shares is $10,000,000.
Filing Date: October 7, 2019
Effective Date: Pending
Fund Name: RiverNorth Flexible Municipal Income Fund, Inc.
Adviser: RiverNorth Capital Management, LLC
Sub-Adviser(s): MacKay Shields LLC
Fees: Not disclosed
Open- or Closed-End: Closed-End (monthly distributions)
Investor Restrictions: Minimum initial investment of 100 common shares ($2,000)
Filing Date: October 4, 2019
Effective Date: Pending
Fund Name: Conversus StepStone Private Markets
Adviser: StepStone Conversus LLC
Sub-Adviser(s): StepStone Group LP
Fees: 1.4% Management Fee; 2% Early Repurchase Fee; Distribution Fee based on share class
Open- or Closed-End: Closed-End (quarterly, annual distributions)
Investor Restrictions: Minimum initial investment for Class T Shares, Class S Shares and Class D Shares is $50,000; for Class I Shares is $1,000,000
Filing Date: October 4, 2019
Effective Date: Pending
Fund Name: 361 Social Infrastructure Fund
Adviser: 361 Infrastructure Partners, LLC
Sub-Adviser(s): None
Fees: Not disclosed
Open- or Closed-End: Closed-End (Interval fund; quarterly repurchase; quarterly distributions)
Investor Restrictions: Not specified
Filing Date: October 3, 2019
Effective Date: Pending
Fund Name: Stone Ridge Trust VI NYDIG Bitcoin Strategy Fund
Adviser: Stone Ridge Asset Management LLC
Sub-Adviser(s): None
Fees: Management Fee 1%
Open- or Closed-End: Closed-End (Interval fund; quarterly repurchase; annual distributions)
Investor Restrictions: None specified
Filing Date: October 2, 2019
Effective Date: Pending

The content of this article is intended to provide a general guide to the subject matter. Specialist advice should be sought about your specific circumstances.

Mondaq uses cookies on this website. By using our website you agree to our use of cookies as set out in our Privacy Policy.

Learn More