RIA Intelligence

TRIAN PARTNERS FUND (SUB)-G, L.P.

PFID 805-6311436807 Managed by TRIAN FUND MANAGEMENT, L.P.
Hedge Fund 3(c)(1) 3(c)(7) Master Fund
Gross Asset Value
$134.3M
Min. Investment
$0
Investors
2
First Sale
--
FY End
--

Service Providers

Auditor
DELOITTE & TOUCHE LLP
NEW YORK, New York, United States
PCAOB: Registered
Independent: Yes
Prime Broker
GOLDMAN SACHS & CO. LLC
NEW YORK, New York, United States
Custodian: Yes
Custodian
THE BANK OF NEW YORK MELLON CORPORATION
NEW YORK, New York, United States
Custodian
STATE STREET BANK AND TRUST COMPANY
BOSTON, Massachusetts, United States
Administrator
HEDGESERV (CAYMAN) LTD.
GRAND CAYMAN, Cayman Islands

Fund Details

Fund Type
Hedge Fund
State Organized
Delaware
Owned by Adviser
12.0%
Annually Audited
Yes