RIA Intelligence

PERRY CREEK CAPITAL FUND II LP

PFID 805-7351963260 Managed by PERRY CREEK CAPITAL LP
Private Equity Fund 3(c)(7)
Gross Asset Value
$937.9M
Min. Investment
$10,000,000
Investors
38
First Sale
--
FY End
--

Service Providers

Auditor
RSM US LLP
NEW YORK, New York, United States
PCAOB: Registered
Independent: Yes
Prime Broker
J.P. MORGAN SECURITIES LLC
NEW YORK, New York, United States
Custodian: Yes
Custodian
J.P. MORGAN SECURITIES LLC
NEW YORK, New York, United States
Administrator
GEN II FUND SERVICES LLC
NEW YORK, New York, United States

Fund Details

Fund Type
Private Equity Fund
State Organized
Delaware
Owned by Adviser
2.0%
Annually Audited
Yes