Commodity Asset Management Partners LP

Form D Filings

Location
New York, NY
Investment Fund Type
Hedge Fund
Industry Group
Pooled Investment Fund
Entity Type
Limited Partnership
CIK
0001669142
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
11/13/2024 Pooled Investment Fund $500,000 $21,582,590 Indefinite Indefinite 12/1/2016 11/12/2024 D/A 000166914224000001
11/13/2023 Pooled Investment Fund $2,466,000 $21,082,590 Indefinite Indefinite 12/1/2016 11/9/2023 D/A 000166914223000002
11/8/2022 Pooled Investment Fund $6,441,590 $18,616,590 Indefinite Indefinite 12/1/2016 11/8/2022 D/A 000166914222000001
11/18/2021 Pooled Investment Fund $5,075,000 $12,175,000 Indefinite Indefinite 12/1/2016 11/18/2021 D/A 000166914221000001
11/24/2020 Pooled Investment Fund $7,100,000 $7,100,000 Indefinite Indefinite 12/1/2016 11/24/2020 D/A 000166914220000001
4/29/2016 Pooled Investment Fund $0 $0 Indefinite Indefinite 4/29/2016 D 000166914216000001