Found 15 results
Name | Type of Offering | Accepted Date |
---|---|---|
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2022-02-25 14:19:55 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-22-000001
Exclusions or Exemptions
506b
Accepted Date
2022-02-25 14:19:55
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2024-02-23 12:24:37 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-24-000001
Exclusions or Exemptions
506b
Accepted Date
2024-02-23 12:24:37
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2017-08-10 15:26:17 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-17-000003
Exclusions or Exemptions
506b
Accepted Date
2017-08-10 15:26:17
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2018-08-10 14:53:23 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-18-000001
Exclusions or Exemptions
506b
Accepted Date
2018-08-10 14:53:23
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
Credit Suisse Securitized Products Intermediate Fund Ltd.
|
D | 2012-06-15 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0000950103-12-003143
Exclusions or Exemptions
N/A
Accepted Date
2012-06-15
Type of Offering
D
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
Credit Suisse Securitized Products Intermediate Fund Ltd.
|
D/A | 2013-06-14 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0000950103-13-003704
Exclusions or Exemptions
N/A
Accepted Date
2013-06-14
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
Credit Suisse Securitized Products Intermediate Fund Ltd.
|
D | 2017-06-09 13:32:38 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-17-000001
Exclusions or Exemptions
506b
Accepted Date
2017-06-09 13:32:38
Type of Offering
D
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
Credit Suisse Securitized Products Intermediate Fund Ltd.
|
D/A | 2014-06-13 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-14-000003
Exclusions or Exemptions
506b
Accepted Date
2014-06-13
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
Credit Suisse Securitized Products Intermediate Fund Ltd.
|
D/A | 2015-06-12 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-15-000001
Exclusions or Exemptions
506b
Accepted Date
2015-06-12
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2021-02-25 12:18:13 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-21-000001
Exclusions or Exemptions
506b
Accepted Date
2021-02-25 12:18:13
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
Credit Suisse Securitized Products Intermediate Fund Ltd.
|
D/A | 2016-06-10 11:47:18 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-16-000002
Exclusions or Exemptions
506b
Accepted Date
2016-06-10 11:47:18
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2020-02-25 11:15:05 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-20-000001
Exclusions or Exemptions
506b
Accepted Date
2020-02-25 11:15:05
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2023-02-24 09:27:46 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549887-23-000002
Exclusions or Exemptions
506b
Accepted Date
2023-02-24 09:27:46
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2019-02-27 16:51:12 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549888-19-000003
Exclusions or Exemptions
506b
Accepted Date
2019-02-27 16:51:12
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|
||
SPF Securitized Products Intermediate Fund Ltd.
|
D/A | 2025-02-24 17:12:41 |
Amount To Be Raised
Indefinite
Associated Brokers / Dealers
N/A
CIK Number
0001549887
Filed Document
0001549885-25-000004
Exclusions or Exemptions
506b
Accepted Date
2025-02-24 17:12:41
Type of Offering
D/A
Industry
Pooled Investment Fund
Offering Tier
N/A
Principal Place of Business
CAYMAN ISLANDS
Revenue or Assets
Decline to Disclose
Type of Security
Equity
|