K2 Custom Solutions Hospital Sisters Fund is a Hedge Fund in Cayman Islands, that has raised $605.36 mm from 3 investors, with a minimum investment of $100.00 k, for a fund started in Oct 2011. Data from SEC filing on 19 Apr 2024.
Company profile
Employees
Incorporated
Location
Fiscal year end
Industry
SEC CIK
AUM ?
$372.75 mm
Address
K2 Custom Solutions Hospital Sisters Fund
WALKER HOUSE, 87 MARY STREET
GEORGE TOWN
GRAND CAYMAN
E9 KY1-9005
WALKER HOUSE, 87 MARY STREET
GEORGE TOWN
GRAND CAYMAN
E9 KY1-9005
Phone
345-949-0100
Ownership
Fund structure | AUM | Fund type |
---|---|---|
K2/D&S Management Co., L.L.C. | $10.42 bn | |
K2 Actusraypartners European Master Fund LTD | $279.08 mm | Hedge Fund |
K2 Actusraypartners European Fund LTD | ||
K2 Apollo Liquid Credit Master Fund LTD. | $506.93 mm | Hedge Fund |
K2 Apollo Liquid Credit Fund LTD. | ||
K2 Apollo Liquid Credit Fund LLC | ||
K2 Ascent LLC - K2 Ako Partners Series | $55.62 mm | Hedge Fund |
K2 Ascent LLC - K2 Engaged Capital Flagship Fund Series | $48.64 mm | Hedge Fund |
K2 Ascent LLC - K2 Impactive Capital Fund Series | $21.72 mm | Hedge Fund |
K2 Ascent LLC - K2 Jet Capital Concentrated Fund Series | $48.65 mm | Hedge Fund |
K2 Ascent LLC - K2 Redmile Capital Fund Series | $48.71 mm | Hedge Fund |
K2 Ascent LLC - K2 Southpoint Qualified Fund Series | $73.65 mm | Hedge Fund |
K2 Ascent LLC - K2 SQN Investors Fund Series | $43.03 mm | Hedge Fund |
K2 Ascent LLC - K2 Starboard Value and Opportunity Fund Series | $53.65 mm | Hedge Fund |
K2 Ascent LLC - K2 Suvretta Partners Series | $42.21 mm | Hedge Fund |
K2 Ascent LLC - K2 Swiftcurrent Series | $42.21 mm | Hedge Fund |
K2 Ascent LLC - K2 Tremblant Partners Series | $56.98 mm | Hedge Fund |
K2 Ascent LLC - K2 Trian Partners Series | $36.39 mm | Hedge Fund |
K2 Custom Solutions Hospital Sisters Fund, LTD. | $372.75 mm | Hedge Fund |
K2 Custom Solutions Nmsuf Fund, LTD. | $2.99 mm | Hedge Fund |
K2 Electron Liquid Global Master Fund LTD. | $346.55 mm | Hedge Fund |
K2 Electron Liquid Global Fund LTD. | ||
K2 Ellington Liquid Credit Master Fund LTD | $378.70 mm | Hedge Fund |
K2 Ellington Liquid Credit Fund LTD. | ||
K2 Emso Liquid Emerging Market Opportunities Master Fund LTD | $74.34 mm | Hedge Fund |
K2 Emso Liquid Emerging Market Opportunities Fund LTD | ||
K2 FS Custom Solutions Fund LTD. | $31.60 mm | Hedge Fund |
K2 GCM Liquid Quant Macro Master Fund LTD | $239.69 mm | Hedge Fund |
K2 GCM Liquid Quant Macro Fund LTD | ||
K2 Holdings Investment Corporation | $28.29 mm | Hedge Fund |
K2 Ibt Local 710 Pension Plan Def LTD | $76.63 mm | Hedge Fund |
K2 Ils Fund, LTD. | $3.05 mm | Hedge Fund |
K2 Institutional Investors II LTD. | $43.30 mm | Hedge Fund |
K2 Lazard Liquid Convertibles Plus Master Fund LTD | $228.66 mm | Hedge Fund |
K2 Lazard Liquid Convertibles Plus Fund LTD | ||
K2 Master Fund LTD. | $228.74 mm | Hedge Fund |
K2 Overseas Investors I, LTD. | $829.50 k | Hedge Fund |
K2 Psam Event Master Fund LTD | $248.22 mm | Hedge Fund |
K2 Psam Event Fund LTD | ||
K2 Pyxis Fund LTD. | $52.51 mm | Hedge Fund |
K2 RV Liquid Asia Fixed Income Master Fund LTD | $198.96 mm | Hedge Fund |
K2 RV Liquid Asia Fixed Income Fund LTD | ||
Prudence Crandall Fund IV, LLC | $1.15 bn | Hedge Fund |
Latest filings (excl ownership)
D/A
Indefinite amount in investment fund, sold $605.36 mm, 3 investors
19 Apr 24
D/A
Indefinite amount in investment fund, sold $605.36 mm, 3 investors
19 Apr 23
D/A
Indefinite amount in investment fund, sold $611.78M, 3 investors
19 Apr 22
D/A
Indefinite amount in investment fund, sold $607.78M, 3 investors
16 Apr 21
D/A
Indefinite amount in investment fund, sold $542.78M, 3 investors
16 Apr 20
D/A
Indefinite amount in investment fund, sold $378.7M, 2 investors
16 Apr 19
D/A
Indefinite amount in investment fund, sold $299.27M, 2 investors
25 Aug 17
D/A
Indefinite amount in investment fund, sold $268.27M, 2 investors
4 Aug 16
D/A
Indefinite amount in investment fund, sold $268.27M, 2 investors
6 Mar 15
D/A
Indefinite amount in investment fund, sold $268.27M, 2 investors
7 Mar 14
Latest ownership filings
No filings