AKO EUROPEAN LONG-ONLY FUND LTD

Form D Filings

Investment Fund Type
Hedge Fund
Industry Group
Pooled Investment Fund
Entity Type
Other
CIK
0001539315
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
1/17/2025 Equity, Pooled Investment Fund $411,885,000 $6,959,219,939 Indefinite Indefinite 1/2/2012 1/17/2025 D/A 000091957425000385
1/19/2024 Equity, Pooled Investment Fund $151,040,001 $6,547,334,939 Indefinite Indefinite 1/2/2012 1/19/2024 D/A 000091957424000410
1/19/2023 Equity, Pooled Investment Fund $861,714,950 $6,396,294,938 Indefinite Indefinite 1/2/2012 1/19/2023 D/A 000091957423000391
1/19/2022 Equity, Pooled Investment Fund $370,269,185 $5,904,849,173 Indefinite Indefinite 1/2/2012 1/19/2022 D/A 000091957422000348
1/19/2021 Equity, Pooled Investment Fund $690,283,045 $5,534,579,988 Indefinite Indefinite 1/2/2012 1/19/2021 D/A 000091957421000371
1/17/2020 Equity, Pooled Investment Fund $367,900,000 $4,844,296,943 Indefinite Indefinite 1/2/2012 1/17/2020 D/A 000091957420000399
1/17/2019 Equity, Pooled Investment Fund $928,697,122 $4,476,396,943 Indefinite Indefinite 1/2/2012 1/17/2019 D/A 000091957419000465
1/19/2018 Equity, Pooled Investment Fund $343,493,222 $3,547,699,821 Indefinite Indefinite 1/2/2012 1/19/2018 D/A 000091957418000497
1/19/2017 Equity, Pooled Investment Fund $602,302,922 $3,204,206,599 Indefinite Indefinite 1/2/2012 1/19/2017 D/A 000091957417000601
1/20/2016 Equity, Pooled Investment Fund $404,629,223 $3,006,532,900 Indefinite Indefinite 1/2/2012 1/20/2016 D/A 000091957416009444
1/20/2015 Pooled Investment Fund $376,409,364 $2,601,903,677 Indefinite Indefinite 1/2/2012 1/20/2015 D/A 000091957415000536
1/17/2014 Pooled Investment Fund $1,974,139,850 $2,225,494,313 Indefinite Indefinite 1/2/2012 1/17/2014 D/A 000091957414000318
1/17/2013 Pooled Investment Fund $635,535,557 $886,890,020 Indefinite Indefinite 1/2/2012 1/17/2013 D/A 000091957413000256
1/17/2012 Pooled Investment Fund $251,354,463 $251,354,463 Indefinite Indefinite 1/2/2012 1/17/2012 D 000091957412000184