Star Mountain U.S. Lower Middle-Market Secondary Fund II, LP
See All Filings
|
D/A |
2024-08-12 06:06:04 UTC |
- Amount To Be Raised
- Indefinite
- Associated Brokers / Dealers
- N/A
- CIK Number
- 0001833762
- Filed Document
- 0001493152-24-031109
- Exclusions or Exemptions
- 506b
- Accepted Date
- 2024-08-12 06:06:04 UTC
- Type of Offering
- D/A
- Industry
- Pooled Investment Fund
- Principal Place of Business
- NEW YORK
- Revenue or Assets
- Decline to Disclose
- Type of Security
- Pooled Investment Fund
|
Star Mountain U.S. Lower Middle-Market Secondary Fund II, LP
See All Filings
|
D/A |
2023-08-10 06:09:42 UTC |
- Amount To Be Raised
- Indefinite
- Associated Brokers / Dealers
- N/A
- CIK Number
- 0001833762
- Filed Document
- 0001493152-23-027432
- Exclusions or Exemptions
- 506b
- Accepted Date
- 2023-08-10 06:09:42 UTC
- Type of Offering
- D/A
- Industry
- Pooled Investment Fund
- Principal Place of Business
- NEW YORK
- Revenue or Assets
- Decline to Disclose
- Type of Security
- Pooled Investment Fund
|
Star Mountain U.S. Lower Middle-Market Secondary Fund II, LP
See All Filings
|
D/A |
2022-08-10 10:00:04 UTC |
- Amount To Be Raised
- Indefinite
- Associated Brokers / Dealers
- N/A
- CIK Number
- 0001833762
- Filed Document
- 0001493152-22-021846
- Exclusions or Exemptions
- 506b
- Accepted Date
- 2022-08-10 10:00:04 UTC
- Type of Offering
- D/A
- Industry
- Pooled Investment Fund
- Principal Place of Business
- NEW YORK
- Revenue or Assets
- Decline to Disclose
- Type of Security
- Pooled Investment Fund
|
Star Mountain U.S. Lower Middle-Market Secondary Fund II, LP
See All Filings
|
D |
2021-08-06 14:03:31 UTC |
- Amount To Be Raised
- Indefinite
- Associated Brokers / Dealers
- N/A
- CIK Number
- 0001833762
- Filed Document
- 0000905718-21-000996
- Exclusions or Exemptions
- 506b
- Accepted Date
- 2021-08-06 14:03:31 UTC
- Type of Offering
- D
- Industry
- Pooled Investment Fund
- Principal Place of Business
- NEW YORK
- Revenue or Assets
- Decline to Disclose
- Type of Security
- Pooled Investment Fund
|