RIA Intelligence

GRAHAM CUSTOM INVESTMENT FUNDS I SPC LTD. RMS SEGREGATED PORTFOLIO

PFID 805-3843158941 Managed by GRAHAM CAPITAL MANAGEMENT, L.P.
Hedge Fund 3(c)(7) Fund of Funds Master Fund
Gross Asset Value
$0
Min. Investment
$250,000,000
Investors
2
First Sale
--
FY End
--

Service Providers

Auditor
ERNST & YOUNG LLP
STAMFORD, Connecticut, United States
PCAOB: Registered
Independent: Yes
Custodian
NORTHERN TRUST INTERNATIONAL BANKING CORPORATION
JERSEY CITY, New Jersey, United States
Administrator
SEI GLOBAL SERVICES INC.
OAKS, Pennsylvania, United States

Fund Details

Fund Type
Hedge Fund
Owned by Adviser
1.0%
Annually Audited
Yes