PERMIRA CREDIT LIMITED
CRD #162394 SEC #802-75497 LONDON 44 20 7632 1000
State Registered Exempt Reporting Private Funds
Total AUM
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Discretionary
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Employees
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Clients
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Accounts
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| Fund Name | Type | GAV | Investors | Auditor |
|---|---|---|---|---|
| PROVIDUS CLO IX DESIGNATED ACTIVITY COMPANY | Securitized Asset Fund | $394.1M | 2 | PRICEWATERHOUSECOOPERS |
| PROVIDUS CLO X DESIGNATED ACTIVITY COMPANY | Securitized Asset Fund | $392.8M | 2 | PRICEWATERHOUSECOOPERS |
| PROVIDUS CLO X DESIGNATED ACTIVITY COMPANY | Securitized Asset Fund | $392.8M | 2 | PRICEWATERHOUSECOOPERS |
| PDM CLO I B.V. | Other Private Fund | $389.3M | 18 | PRICEWATERHOUSECOOPERS ACCOUNTANTS N.V. |
| PROVIDUS CLO III DAC | Securitized Asset Fund | $384M | 4 | PRICEWATERHOUSECOOPERS |
| PROVIDUS CLO III DAC | Securitized Asset Fund | $384M | 4 | PRICEWATERHOUSECOOPERS |
| PDM CLO I B.V. | Other Private Fund | $363.6M | 16 | PRICEWATERHOUSECOOPERS ACCOUNTANTS N.V. |
| PDM CLO I B.V. | Other Private Fund | $341.3M | 18 | PRICEWATERHOUSECOOPERS ACCOUNTANTS N.V. |
| PROVIDUS CLO II DAC | Securitized Asset Fund | $335.4M | 5 | PRICEWATERHOUSECOOPERS |
| PROVIDUS CLO II DAC | Securitized Asset Fund | $335.4M | 5 | PRICEWATERHOUSECOOPERS |
| PERMIRA CREDIT SOLUTIONS IV MASTER (FEEDER) SCSP | Hedge Fund | $316.5M | 7 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PERMIRA CREDIT SOLUTIONS IV MASTER (FEEDER) SCSP | Hedge Fund | $316.5M | 7 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PROVIDUS CLO I DAC | Securitized Asset Fund | $228.9M | 9 | PRICEWATERHOUSECOOPERS |
| PROVIDUS CLO I DAC | Securitized Asset Fund | $228.9M | 9 | PRICEWATERHOUSECOOPERS |
| PERMIRA CREDIT SOLUTIONS III SENIOR GBP L.P. | Hedge Fund | $223.3M | 20 | PRICEWATERHOUSECOOPERS CI LLP |
| PERMIRA CREDIT SOLUTIONS III SENIOR GBP L.P. | Hedge Fund | $223.3M | 20 | PRICEWATERHOUSECOOPERS CI LLP |
| PERMIRA CREDIT SOLUTIONS III MASTER EURO L.P. | Hedge Fund | $216.5M | 21 | PRICEWATERHOUSECOOPERS CI LLP |
| PERMIRA CREDIT SOLUTIONS III MASTER EURO L.P. | Hedge Fund | $216.5M | 21 | PRICEWATERHOUSECOOPERS CI LLP |
| PERMIRA STRATEGIC OPPORTUNITIES SCSP | Hedge Fund | $192.7M | 11 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PERMIRA STRATEGIC OPPORTUNITIES SCSP | Hedge Fund | $192.7M | 11 | PRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE |
| PERMIRA CREDIT SOLUTIONS MANAGED ACCOUNT N L.P. | Hedge Fund | $179.8M | 12 | PRICEWATERHOUSE COOPERS CI LLP |
| PERMIRA CREDIT SOLUTIONS MANAGED ACCOUNT N L.P. | Hedge Fund | $179.8M | 12 | PRICEWATERHOUSE COOPERS CI LLP |
| PROVIDUS RISK RETENTION FUND LIMITED | Securitized Asset Fund | $152.8M | 12 | PRICEWATERHOUSE COOPERS CI LLP |
| PROVIDUS RISK RETENTION FUND LIMITED | Securitized Asset Fund | $152.8M | 12 | PRICEWATERHOUSE COOPERS CI LLP |
| PERMIRA CREDIT SOLUTIONS II SENIOR L.P. 1 | Hedge Fund | $142.9M | 8 | PRICEWATERHOUSECOOPERS CI LLP |
TypeSecuritized Asset Fund
GAV$394.1M
Investors2
AuditorPRICEWATERHOUSECOOPERS
TypeSecuritized Asset Fund
GAV$392.8M
Investors2
AuditorPRICEWATERHOUSECOOPERS
TypeSecuritized Asset Fund
GAV$392.8M
Investors2
AuditorPRICEWATERHOUSECOOPERS
Fund NamePDM CLO I B.V.
TypeOther Private Fund
GAV$389.3M
Investors18
AuditorPRICEWATERHOUSECOOPERS ACCOUNTANTS N.V.
Fund NamePROVIDUS CLO III DAC
TypeSecuritized Asset Fund
GAV$384M
Investors4
AuditorPRICEWATERHOUSECOOPERS
Fund NamePROVIDUS CLO III DAC
TypeSecuritized Asset Fund
GAV$384M
Investors4
AuditorPRICEWATERHOUSECOOPERS
Fund NamePDM CLO I B.V.
TypeOther Private Fund
GAV$363.6M
Investors16
AuditorPRICEWATERHOUSECOOPERS ACCOUNTANTS N.V.
Fund NamePDM CLO I B.V.
TypeOther Private Fund
GAV$341.3M
Investors18
AuditorPRICEWATERHOUSECOOPERS ACCOUNTANTS N.V.
Fund NamePROVIDUS CLO II DAC
TypeSecuritized Asset Fund
GAV$335.4M
Investors5
AuditorPRICEWATERHOUSECOOPERS
Fund NamePROVIDUS CLO II DAC
TypeSecuritized Asset Fund
GAV$335.4M
Investors5
AuditorPRICEWATERHOUSECOOPERS
TypeHedge Fund
GAV$316.5M
Investors7
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
TypeHedge Fund
GAV$316.5M
Investors7
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
Fund NamePROVIDUS CLO I DAC
TypeSecuritized Asset Fund
GAV$228.9M
Investors9
AuditorPRICEWATERHOUSECOOPERS
Fund NamePROVIDUS CLO I DAC
TypeSecuritized Asset Fund
GAV$228.9M
Investors9
AuditorPRICEWATERHOUSECOOPERS
TypeHedge Fund
GAV$223.3M
Investors20
AuditorPRICEWATERHOUSECOOPERS CI LLP
TypeHedge Fund
GAV$223.3M
Investors20
AuditorPRICEWATERHOUSECOOPERS CI LLP
TypeHedge Fund
GAV$216.5M
Investors21
AuditorPRICEWATERHOUSECOOPERS CI LLP
TypeHedge Fund
GAV$216.5M
Investors21
AuditorPRICEWATERHOUSECOOPERS CI LLP
Fund NamePERMIRA STRATEGIC OPPORTUNITIES SCSP
TypeHedge Fund
GAV$192.7M
Investors11
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
Fund NamePERMIRA STRATEGIC OPPORTUNITIES SCSP
TypeHedge Fund
GAV$192.7M
Investors11
AuditorPRICEWATERHOUSECOOPERS SOCIETE COOPERATIVE
TypeHedge Fund
GAV$179.8M
Investors12
AuditorPRICEWATERHOUSE COOPERS CI LLP
TypeHedge Fund
GAV$179.8M
Investors12
AuditorPRICEWATERHOUSE COOPERS CI LLP
Fund NamePROVIDUS RISK RETENTION FUND LIMITED
TypeSecuritized Asset Fund
GAV$152.8M
Investors12
AuditorPRICEWATERHOUSE COOPERS CI LLP
Fund NamePROVIDUS RISK RETENTION FUND LIMITED
TypeSecuritized Asset Fund
GAV$152.8M
Investors12
AuditorPRICEWATERHOUSE COOPERS CI LLP
TypeHedge Fund
GAV$142.9M
Investors8
AuditorPRICEWATERHOUSECOOPERS CI LLP