REDEFINE VENTURES LLC
CRD #323691 SEC #801-133976 BOULDER, CO 310-877-9808
SEC Registered Exempt Reporting Private Funds
Total AUM
$469.4M
Discretionary
$469.4M
Employees
1
Clients
--
Accounts
24
| Fund Name | Type | GAV | Investors | Auditor |
|---|---|---|---|---|
| MENLO INFLECTION AI RDFN, LLC | Private Equity Fund | $153.4M | 6 | -- |
| MENLO INFLECTION AI RDFN, LLC | Private Equity Fund | $153.4M | 6 | -- |
| MENLO INFLECTION AI RDFN, LLC | Private Equity Fund | $153.4M | 6 | -- |
| REDEFINE SPACE SERIES III LLC | Private Equity Fund | $52.9M | 2 | -- |
| REDEFINE SPACE SERIES III LLC | Private Equity Fund | $52.9M | 2 | -- |
| REDEFINE SPACE SERIES III LLC | Private Equity Fund | $52.9M | 2 | -- |
| REDEFINE PATRIOT DEFENSE SPV, LLC | Private Equity Fund | $49.1M | 1 | -- |
| REDEFINE PATRIOT DEFENSE SPV, LLC | Private Equity Fund | $49.1M | 1 | -- |
| REDEFINE PATRIOT DEFENSE SPV, LLC | Private Equity Fund | $49.1M | 1 | -- |
| REDEFINE SPACE SERIES VII | Private Equity Fund | $47.7M | 1 | -- |
| REDEFINE SPACE SERIES VII | Private Equity Fund | $47.7M | 1 | -- |
| REDEFINE SPACE SERIES VII | Private Equity Fund | $47.7M | 1 | -- |
| REDEFINE AI SERIES II | Private Equity Fund | $28M | 2 | -- |
| REDEFINE AI SERIES II | Private Equity Fund | $28M | 2 | -- |
| REDEFINE AI SERIES II | Private Equity Fund | $28M | 2 | -- |
| REDEFINE BATTERY TECHNOLOGY SPV, LLC | Private Equity Fund | $25.2M | 17 | -- |
| REDEFINE BATTERY TECHNOLOGY SPV, LLC | Private Equity Fund | $25.2M | 17 | -- |
| REDEFINE BATTERY TECHNOLOGY SPV, LLC | Private Equity Fund | $25.2M | 17 | -- |
| REDEFINE LTMTR SERIES II | Private Equity Fund | $20M | 3 | -- |
| REDEFINE LTMTR SERIES II | Private Equity Fund | $20M | 3 | -- |
| REDEFINE LTMTR SERIES II | Private Equity Fund | $20M | 3 | -- |
| REDEFINE AI SERIES III | Private Equity Fund | $18.4M | 2 | -- |
| REDEFINE AI SERIES III | Private Equity Fund | $18.4M | 2 | -- |
| REDEFINE AI SERIES III | Private Equity Fund | $18.4M | 2 | -- |
| REDEFINE LTMTR INVESTMENT I, LLC | Private Equity Fund | $16.6M | 13 | -- |