CENTRAL PARK GROUP LIGHTHOUSE GLOBAL LONG/SHORT FUND LLC

Form D Filings

Location
New York, NY
Investment Fund Type
Hedge Fund
Industry Group
Pooled Investment Fund
Entity Type
Limited Liability Company
CIK
0001449393
All SEC Filings
View on sec.gov
Date Filed Security Types Amount Sold Diff Total Amount Sold Total Offering Amount Remaining First Sale Signed Form SEC Link
12/12/2023 Pooled Investment Fund $0 $56,610,624 Indefinite Indefinite 10/31/2008 12/12/2023 D/A 000101297523000518
12/12/2022 Pooled Investment Fund $0 $56,610,624 Indefinite Indefinite 10/31/2008 12/12/2022 D/A 000101297522000544
12/10/2021 Pooled Investment Fund $0 $56,610,624 Indefinite Indefinite 10/31/2008 12/10/2021 D/A 000101297521000507
12/10/2020 Pooled Investment Fund $0 $56,610,624 Indefinite Indefinite 10/31/2008 12/10/2020 D/A 000101297520000865
12/10/2019 Pooled Investment Fund $0 $56,610,624 Indefinite Indefinite 10/31/2008 12/10/2019 D/A 000101297519000784
12/10/2018 Pooled Investment Fund $2,200,000 $56,610,624 Indefinite Indefinite 10/31/2008 12/10/2018 D/A 000101297518001281
12/8/2017 Pooled Investment Fund $0 $54,410,624 Indefinite Indefinite 10/31/2008 12/8/2017 D/A 000101297517000918
10/11/2016 Pooled Investment Fund $54,410,624 Indefinite Indefinite 10/31/2008 10/11/2016 D/A 000114036116082402
10/8/2015 Pooled Investment Fund $53,984,176 Indefinite Indefinite 10/31/2008 10/8/2015 D/A 000114036115037129
10/9/2014 Pooled Investment Fund $51,584,336 Indefinite Indefinite 10/31/2008 10/9/2014 D/A 000114036114037749
10/9/2013 Pooled Investment Fund $45,684,336 Indefinite Indefinite 10/31/2008 10/9/2013 D/A 000114036113038241
10/9/2012 Pooled Investment Fund $45,184,336 Indefinite Indefinite 10/31/2008 10/9/2012 D/A 000114036112043143
10/7/2011 Equity, Pooled Investment Fund $7,717,361 $42,338,336 Indefinite Indefinite 10/31/2008 10/7/2011 D/A 000114036111048813
10/20/2010 Equity, Pooled Investment Fund $17,632,885 $34,620,975 Indefinite Indefinite 10/31/2008 10/20/2010 D/A 000114036110041710
10/29/2009 Equity, Pooled Investment Fund $16,988,090 Indefinite Indefinite 10/31/2008 10/27/2009 D/A 000089968109000754