RIA Intelligence

MORGAN CREEK CONSUMER OPPORTUNITIES FUND, LP

PFID 805-6661754107 Managed by MORGAN CREEK CAPITAL MANAGEMENT, LLC
Private Equity Fund 3(c)(1)
Gross Asset Value
$19.5M
Min. Investment
$250,000
Investors
21
First Sale
--
FY End
--

Service Providers

Auditor
GRANT THORNTON LLP
CHARLOTTE, North Carolina, United States
PCAOB: Registered
Independent: Yes
Prime Broker
MERRILL LYNCH VENTURE SERVICES GROUP
BOSTON, Massachusetts, United States
Custodian: Yes
Custodian
THE NORTHERN TRUST INTERNATIONAL BANKING CORPORATION
JERSEY CITY, New Jersey, United States
Custodian
SILICON VALLEY BANK
BOSTON, Massachusetts, United States
Custodian
MERRILL LYNCH VENTURE SERVICES GROUP
BOSTON, Massachusetts, United States
Administrator
SS&C TECHNOLOGIES INC.
WINDSOR, Connecticut, United States

Fund Details

Fund Type
Private Equity Fund
State Organized
Delaware
Owned by Adviser
5.0%
Annually Audited
Yes