Credit Opportunities Fund 2011 LP
- Fund Information and Directors
| Credit Opportunities Fund 2011 LP |
| Firm |
HPS Investment Partners LLC
|
| Fund # | 805-3058419192 |
| CIK # | 0001525361 |
| Sale | 2011-07-01
(69.7 M Sold)
|
| Fund | Hedge Fund |
| Phone | 2122874900 |
| Address | 40 West 57th Street New York, New York 10019 |
| Source |
[EDGAR]
[IAPD]
|
| Fund AUM and Sold ($M) |
|
|
| Fund Details |
| Director | Highbridge GP LLC |
| Custodian | |
| Auditor | Pricewaterhouse Coopers LLP, PricewaterhouseCoopers LLP |
| Marketer | JPMorgan Asset Management Australia Limited, JPMorgan Asset Management Europe SARL, JPMorgan Asset Management UK Limited, JP Morgan Institutional Investments Inc, JPMorgan Asset Management Canada Inc, JPMorgan Funds Asia Limited, JP Morgan Institutional Investments, JPMorgan Asset Management Taiwan Limited, JPMorgan Asset Management Japan Limited, JP Morgan Suisse Sa, JPMorgan Asset Management Singapore Limited, JP Morgan Securities LLC |
| Broker | |
| Jurisdiction | |
| Form D Offering |
| Filed | 2017-06-13 (D/A) |
| Exemption | 506(b), 3(c), 3(c)(7) |
| Remaining | Indefinite |
| Duration | More than one year |
| Net Assets | Decline to Disclose |
| Investors | 14 |
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