ONEX CREDIT PARTNERS, LLC
CRD #138941 SEC #801-65396 ENGLEWOOD CLIFFS, NJ (201) 541-2121
SEC Registered Private Funds
Total AUM
$23.5B
Discretionary
$23.5B
Employees
78
Clients
--
Accounts
71
| Fund Name | Type | GAV | Investors | Auditor |
|---|---|---|---|---|
| OCP CLO 2022-24, LTD | Securitized Asset Fund | $403.5M | 14 | -- |
| OCP CLO 2022-24, LTD | Securitized Asset Fund | $403.1M | 14 | -- |
| OCP CLO 2022-24, LTD | Securitized Asset Fund | $403.1M | 14 | -- |
| OCP CLO 2022-24, LTD | Securitized Asset Fund | $403.1M | 14 | -- |
| OCP CLO 2020-20, LTD | Securitized Asset Fund | $403M | 18 | -- |
| OCP CLO 2023-30, LTD. | Securitized Asset Fund | $402.2M | 22 | -- |
| OCP CLO 2023-30, LTD. | Securitized Asset Fund | $402.2M | 22 | -- |
| OCP CLO 2023-30, LTD. | Securitized Asset Fund | $402.2M | 22 | -- |
| OCP CLO 2023-26, LTD. | Securitized Asset Fund | $402M | 28 | -- |
| OCP CLO 2023-26, LTD. | Securitized Asset Fund | $402M | 28 | -- |
| OCP CLO 2023-26, LTD. | Securitized Asset Fund | $402M | 28 | -- |
| OCP CLO 2016-11, LTD | Securitized Asset Fund | $401.7M | 16 | -- |
| OCP CLO 2016-11, LTD | Securitized Asset Fund | $401.7M | 16 | -- |
| OCP CLO 2016-11, LTD | Securitized Asset Fund | $401.7M | 16 | -- |
| OCP CLO 2015-10, LTD | Securitized Asset Fund | $401.4M | 19 | -- |
| OCP CLO 2020-20, LTD | Securitized Asset Fund | $400.7M | 18 | -- |
| OCP CLO 2020-20, LTD | Securitized Asset Fund | $400.7M | 18 | -- |
| OCP CLO 2020-20, LTD | Securitized Asset Fund | $400.7M | 18 | -- |
| OCP CLO 2020-18, LTD | Securitized Asset Fund | $400.2M | 25 | -- |
| OCP CLO 2016-11, LTD | Securitized Asset Fund | $399.7M | 19 | -- |
| ONEX EVERGREEN CREDIT MASTER FUND, L.P. - ONEX MPD SMA SERIES 2022-1 | Hedge Fund | $398.6M | 14 | PRICEWATERHOUSECOOPERS |
| ONEX EVERGREEN CREDIT MASTER FUND, L.P. - ONEX MPD SMA SERIES 2022-1 | Hedge Fund | $398.6M | 14 | PRICEWATERHOUSECOOPERS |
| ONEX EVERGREEN CREDIT MASTER FUND, L.P. - ONEX MPD SMA SERIES 2022-1 | Hedge Fund | $398.6M | 14 | PRICEWATERHOUSECOOPERS |
| OCP EURO CLO 2017-2 DESIGNATED ACTIVITY COMPANY | Securitized Asset Fund | $398.6M | 21 | PRICEWATERHOUSECOOPERS |
| OCP CLO 2015-10, LTD | Securitized Asset Fund | $397.7M | 14 | -- |
TypeHedge Fund
GAV$398.6M
Investors14
AuditorPRICEWATERHOUSECOOPERS
TypeHedge Fund
GAV$398.6M
Investors14
AuditorPRICEWATERHOUSECOOPERS
TypeHedge Fund
GAV$398.6M
Investors14
AuditorPRICEWATERHOUSECOOPERS
TypeSecuritized Asset Fund
GAV$398.6M
Investors21
AuditorPRICEWATERHOUSECOOPERS