As of September 30, 2023, the since inception Net IRR is 11.0% and the Net Multiple is 1.5x.

The table below reflects the performance of all active PE partnership investments as of September 30, 2023. At the end of each quarter, the General Partners report on the value of invested capital. The General Partners have 120 days to provide Limited Partners with financial data, so there is generally a 2-quarter delay in performance reporting.

The table is updated quarterly and provides information on the status of all active CalPERS private equity commitments; it doesn't include any exited partnership investments.

  • The Fund column lists the names of all active partnership investments.
  • Vintage Year is the year in which CalPERS’ first cash flow for the investment occurred.
  • Capital Committed identifies the original amount CalPERS committed to each fund.
  • Cash In represents capital contributed for investments and management fees.
  • Cash Out represents distributions CalPERS has received back from the fund.
  • Cash Out & Remaining Value represents the distributions CalPERS has received plus the reported value of the invested capital.
  • Net IRR is the Net Internal Rate of Return based on CalPERS’ actual cash flows and the reported value of the invested capital.
  • Investment Multiple is the Cash Out & Remaining Value divided by the Cash In.

In evaluating private equity performance, CalPERS emphasizes using both the realized Internal Rate of Return (IRR) and Investment Multiple. Interim IRRs by themselves are not the best indicators of current or future fund performance.

The IRR is calculated based on CalPERS records of cash flows and financial statements from the investment managers.

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Fund Vintage Year Capital Committed Cash In Cash Out Cash Out & Remaining Value Net IRR Investment Multiple
Fund Vintage Year            
57 Stars Global Opportunities Fund 2 (CalPERS), LLC 2009 $500,000,000 $521,360,601 $470,824,338 $824,295,576 7.7% 1.6x
57 Stars Global Opportunities Fund, LLC 2007 $430,000,000 $414,327,500 $555,552,320 $574,475,184 6.0% 1.4x
AACP AP Investors, L.P. 2007 $14,108,080 $14,918,901 $16,898,666 $16,909,243 2.0% 1.1x
AACP China Growth Investors 2007 $50,000,000 $52,013,542 $82,990,619 $84,184,472 7.9% 1.6x
AACP India Investors B 2007 $5,000,000 $5,255,629 $18,761,837 $21,052,997 12.9% 4.0x
AACP India Investors C 2009 $5,000,000 $5,269,076 $2,213,113 $8,843,047 6.4% 1.7x
AACP India Venture Investors A 2007 $5,000,000 $5,065,536 $5,653,594 $5,863,379 2.3% 1.2x
Advent Global Technology II Limited Partnership 2022 $150,000,000 $54,802,569 $0 $67,864,162 N/M 1 N/M 1
Advent International GPE IX Limited Partnership 2019 $550,000,000 $514,285,156 $54,978,033 $712,019,966 16.0% 1 1.4x 1
Advent International GPE V-D, L.P. 2005 $80,736,671 $77,609,736 $185,526,402 $187,446,727 42.7% 2.4x
Advent International GPE VI-A, L.P. 2008 $500,000,000 $502,306,204 $1,006,375,016 $1,045,248,646 16.4% 2.1x
Advent International GPE VII-C, L.P. 2012 $450,000,000 $432,732,784 $718,010,966 $781,789,191 13.3% 1.8x
Advent International GPE VIII-B Limited Partnership 2016 $500,000,000 $500,000,000 $485,877,750 $1,039,973,991 18.1% 2.1x
Advent International GPE X Limited Partnership 2022 $650,000,000 $195,000,000 $0 $181,037,544 N/M 1 N/M 1
AlpInvest Secondaries Fund (onshore) VII, L.P. 2021 $500,000,000 $320,210,664 $58,338,351 $410,956,334 25.6% 1 1.3x 1
Amberbrook IX LP 2023 $150,000,000 $16,666,667 $0 $28,239,592 N/M 1 N/M 1
AMZL, LP 2023 $150,000,000 $39,106,907 $0 $38,804,718 N/M 1 N/M 1
Apollo European Principal Finance Fund, L.P. 2008 $91,060,326 $165,281,284 $200,770,615 $200,904,362 11.9% 1.2x
Apollo Investment Fund IV, L.P. 1998 $150,000,000 $154,085,315 $254,289,011 $254,368,201 8.5% 1.7x
Apollo Investment Fund IX, L.P 2019 $550,000,000 $481,355,319 $195,953,073 $734,875,325 22.9% 1 1.5x 1
Apollo Investment Fund V, L.P. 2001 $250,000,000 $388,164,138 $776,929,038 $779,043,884 37.5% 2.0x
Apollo Investment Fund VI, L.P. 2006 $520,000,000 $866,357,105 $1,218,417,644 $1,227,658,726 8.2% 1.4x
Apollo Investment Fund VIII, L.P. 2013 $350,000,000 $497,005,002 $606,388,716 $718,284,187 9.4% 1.4x
Apollo Investment Fund X, L.P. 2023 $225,000,000 $43,272,187 $0 $42,387,209 N/M 1 N/M 1
Apollo Special Opportunities Managed Account, L.P. 2007 $800,000,000 $800,000,000 $1,069,973,026 $1,095,644,973 3.8% 1.4x
ArcLight Energy Partners Fund III, L.P. 2006 $200,000,000 $212,312,180 $314,980,433 $314,980,433 8.6% 1.5x
ArcLight Energy Partners Fund IV, L.P. 2007 $250,000,000 $255,794,752 $388,365,992 $388,847,672 12.6% 1.5x
Ares Corporate Opportunities Fund II, L.P. 2006 $200,000,000 $224,934,390 $371,763,173 $371,763,173 13.0% 1.7x
Ares Corporate Opportunities Fund III, L.P. 2008 $400,000,000 $512,078,628 $1,059,418,691 $1,061,012,686 20.2% 2.1x
Ares Corporate Opportunities Fund V, L.P. 2017 $425,000,000 $465,427,425 $217,559,535 $626,292,559 8.7% 1.3x
Ares Corporate Opportunities Fund VI, L.P. 2021 $250,000,000 $248,104,963 $60,426,711 $298,329,620 16.4% 1 1.2x 1
Ares Corporate Opportunities Fund, L.P. 2003 $100,000,000 $135,868,685 $195,787,324 $195,787,324 12.8% 1.4x
Arlington Capital Partners VI, L.P. 2023 $300,000,000 $77,394,593 $119,334 $80,268,789 N/M 1 N/M 1
Arsenal Capital Partners Growth LP 2022 $50,000,000 $9,987,718 $32,924 $5,697,943 N/M 1 N/M 1
Arsenal Capital Partners VI LP 2022 $150,000,000 $43,737,019 $28,594 $32,425,445 N/M 1 N/M 1
ASF VIII B L.P. 2020 $300,000,000 $181,422,223 $46,975,347 $259,184,439 20.9% 1 1.4x 1
Asia Alternatives Capital Partners II LP 2008 $48,933,451 $50,367,880 $123,172,175 $128,611,720 16.9% 2.6x
Asia Alternatives Capital Partners, LP 2007 $50,000,000 $53,499,274 $93,845,231 $97,785,388 11.2% 1.8x
Avenue Asia Special Situations Fund IV, L.P. 2006 $300,000,000 $271,629,915 $297,297,571 $297,297,571 2.0% 1.1x
Avenue Special Situations Fund IV, L.P. 2006 $150,000,000 $150,000,000 $212,523,413 $212,523,413 8.6% 1.4x
Avenue Special Situations Fund V, L.P. 2007 $400,000,000 $473,059,573 $607,116,534 $607,116,534 11.3% 1.3x
Bain Capital Insurance Fund, L.P. 2023 $125,000,000 $0 $0 $22,169,405 N/M 1 N/M 1
Bain Capital Tech Opportunities Fund II, L.P. 2023 $150,000,000 $39,527,091 $0 $37,926,862 N/M 1 N/M 1
Bain Capital Venture Coinvestment Fund IV, L.P. 2023 $150,000,000 $4,500,000 $0 $4,266,906 N/M 1 N/M 1
Bain Capital Venture Fund 2022, L.P. 2023 $150,000,000 $14,260,572 $0 $11,531,374 N/M 1 N/M 1
Baring Vostok Private Equity Fund IV L.P. / Supplemental 2007 $77,775,000 $91,865,849 $98,602,133 $99,640,347 1.5% 1.1x
Base10 Advancement Initiative II, L.P. 2023 $50,000,000 $6,750,000 $0 $5,472,223 N/M 1 N/M 1
Base10 Partners III, L.P. 2022 $50,000,000 $14,903,370 $0 $12,762,130 N/M 1 N/M 1
Bay State Partners, L.P. 2022 $250,000,000 $91,142,091 $0 $91,037,588 N/M 1 N/M 1
BC CLP INVESTORS, L.P. 2023 $300,000,000 $154,095,640 $0 $161,804,393 N/M 1 N/M 1
BDC III C LP 2017 $130,175,238 $118,621,467 $165,995,918 $327,281,830 37.4% 2.8x
BDC IV D LP 2021 $197,442,888 $99,187,456 $0 $90,707,423 -9.5% 1 0.9x 1
BE VI 'H' L.P. 2019 $391,420,520 $370,697,383 $34,716,851 $568,966,654 20.1% 1 1.5x 1
Bear Coast (CV) Fund, LP 2023 $100,000,000 $95,000,000 $0 $98,869,604 N/M 1 N/M 1
Bear Coast (Ventures) Fund, LP 2023 $100,000,000 $69,086,005 $0 $83,055,438 N/M 1 N/M 1
Bear Technology Fund, L.P. 2021 $100,000,000 $65,092,900 $0 $59,541,053 -4.1% 1 0.9x 1
Berkshire Fund X, L.P. 2021 $500,000,000 $206,786,842 $8,433,714 $231,169,850 11.7% 1 1.1x 1
Biogeneration Capital Fund V Cooperatief U.A. 2023 $21,212,630 $1,365,642 $0 $1,016,507 N/M 1 N/M 1
Birch Hill Equity Partners (US) III, LP 2005 $126,299,761 $142,339,925 $269,654,907 $270,738,135 12.1% 1.9x
Birch Hill Equity Partners (US) IV, LP 2011 $136,805,989 $131,929,148 $278,577,215 $324,849,809 15.1% 2.5x
Blackstone Capital Partners V L.P. 2006 $38,400,000 $794,822,847 $1,222,737,110 $1,222,737,390 7.8% 1.5x
Blackstone Capital Partners VI L.P. 2011 $375,000,000 $543,502,335 $845,422,050 $971,026,796 12.6% 1.8x
Blackstone Capital Partners VII, L.P. 2016 $375,000,000 $525,374,444 $519,048,423 $885,281,249 16.2% 1.7x
Blackstone Capital Partners VIII, L.P. 2021 $262,500,000 $363,469,384 $242,740,507 $434,843,342 16.8% 1 1.2x 1
Blackstone Communications Partners I L.P. 2000 $100,000,000 $111,226,418 $135,473,542 $136,025,954 6.5% 1.2x
Blackstone Core Equity Partners II, L.P. 2021 $1,000,000,000 $301,467,312 $6,666,939 $370,466,427 13.2% 1 1.2x 1
Blackstone Tactical Opportunities Fund - C L.P. 2012 $800,000,000 $991,989,705 $1,243,991,364 $1,313,524,416 9.0% 1.3x
Blackstone Tactical Opportunities Fund II - C L.P. 2015 $500,000,000 $481,079,938 $640,131,340 $732,733,581 13.3% 1.5x
Blackstone Tactical Opportunities Fund III-C (Surge) L.P. 2019 $500,000,000 $460,007,943 $118,090,419 $557,327,671 11.2% 1 1.2x 1
Blackstone Tactical Opportunities Fund III-C L.P. 2018 $175,000,000 $351,850,138 $281,259,373 $445,255,411 12.6% 1.3x
Blackwell Capital Partners, LP 2023 $411,093,396 $333,881,590 $0 $332,433,260 N/M 1 N/M 1
BOND III, LP 2022 $75,000,000 $9,187,500 $0 $8,843,128 N/M 1 N/M 1
Bridgepoint Europe III 'C' L.P. 2015 $25,374,930 $16,760,648 $15,041,837 $19,708,892 4.0% 1.2x
Bridgepoint Europe III 'D' LP 2005 $194,256,155 $191,932,333 $205,295,910 $233,050,756 2.3% 1.2x
Bridgepoint Europe IV 'B' L.P. 2015 $83,769,422 $67,960,669 $78,211,557 $95,310,218 12.7% 1.4x
Bridgepoint Europe IV 'D' LP 2008 $397,782,159 $391,605,384 $543,455,711 $608,345,413 9.5% 1.6x
BRV Lotus Fund III, L.P. 2022 $100,000,000 $92,419,619 $450,253 $93,478,184 N/M 1 N/M 1
Butterfly II, LP 2022 $125,000,000 $59,211,275 $7,367,906 $66,414,006 N/M 1 N/M 1
BVP Forge Institutional [A], L.P. 2023 $35,000,000 $12,340,347 $0 $11,147,573 N/M 1 N/M 1
CA Co-Investment Limited Partnership 2022 $650,000,000 $599,810,000 $0 $618,993,484 N/M 1 N/M 1
CA1 SPV, L.P. 2023 $150,000,000 $33,481,129 $0 $36,273,959 N/M 1 N/M 1
California Asia Investors, L.P. 2008 $150,000,000 $149,525,841 $624,262,196 $639,101,019 26.6% 4.3x
California Community Venture Fund, LLC 2003 $100,000,000 $100,067,655 $88,478,382 $92,784,053 -1.2% 0.9x
California Emerging Ventures II, LLC 1999 $1,339,569,396 $1,391,089,668 $1,718,145,285 $1,718,145,285 3.9% 1.2x
California Emerging Ventures IV, LLC 2006 $462,926,766 $488,961,703 $847,252,969 $915,867,802 11.9% 1.9x
California Emerging Ventures, LLC 1999 $952,944,894 $1,096,189,129 $1,270,832,900 $1,270,832,900 3.5% 1.2x
California Partners, L.P. 2020 $600,000,000 $444,097,199 $0 $483,038,585 7.5% 1 1.1x 1
CalPERS Clean Energy & Technology Fund, LLC 2007 $465,000,000 $468,423,814 $132,249,749 $137,422,135 -19.8% 0.3x
CalPERS Corporate Partners, LLC 2001 $500,000,000 $533,507,990 $831,997,162 $831,997,403 9.3% 1.6x
CalPERS Wellspring V, L.P. 2011 $24,975,000 $26,651,935 $45,022,207 $54,945,729 22.2% 2.1x
Canaan Gold Coast L.P. 2023 $100,000,000 $10,500,000 $0 $10,232,389 N/M 1 N/M 1
Capital Link Fund I, LLC 2007 $502,000,000 $600,797,120 $845,170,701 $898,505,586 7.6% 1.5x
Capital Link Fund II, LLC 2008 $435,000,000 $472,457,105 $770,523,390 $791,491,110 11.8% 1.7x
CapVest Equity Partners V SCSp 2023 $317,951,027 $10,924,432 $0 $1,425,956 N/M 1 N/M 1
Carlyle Asia Growth Partners III, L.P. 2005 $75,000,000 $84,766,869 $78,177,512 $78,177,512 -1.4% 0.9x
Carlyle Asia Partners III, L.P. 2008 $150,000,000 $372,734,107 $583,747,380 $585,539,224 12.0% 1.6x
Carlyle Asia Partners V, L.P. 2018 $125,000,000 $187,796,525 $155,626,644 $251,474,479 19.7% 1.3x
Carlyle Europe Partners II, L.P. 2003 $47,147,425 $93,147,145 $148,601,012 $148,910,835 19.7% 1.6x
Carlyle Europe Partners III, L.P. 2007 $262,100,782 $460,698,733 $742,052,497 $744,792,626 11.2% 1.6x
Carlyle Europe Partners V, S.C.Sp. 2019 $175,336,549 $264,544,264 $198,848,359 $326,209,896 11.5% 1 1.2x 1
Carlyle Mexico Partners, L.P. 2005 $25,000,000 $30,874,091 $37,552,281 $37,552,281 7.9% 1.2x
Carlyle Partners IV L.P. 2005 $300,000,000 $315,731,007 $665,380,421 $665,380,421 14.5% 2.1x
Carlyle Partners V, L.P. 2007 $800,000,000 $1,067,512,609 $1,723,690,264 $1,762,539,584 12.9% 1.7x
Carlyle Partners VI, L.P. 2013 $300,850,000 $596,877,528 $1,082,528,468 $1,198,898,585 16.3% 2.0x
Carlyle Partners VII, L.P. 2018 $300,000,000 $600,158,717 $483,584,849 $841,023,669 14.4% 1.4x
Carlyle Partners VIII, L.P. 2022 $375,000,000 $156,539,275 $214,236 $156,270,304 N/M 1 N/M 1
Carlyle Strategic Partners IV, L.P. 2016 $150,000,000 $182,378,996 $81,815,149 $203,260,788 5.4% 1.1x
Carlyle U.S. Equity Opportunities II, L.P. 2015 $200,000,000 $220,846,319 $237,692,049 $374,294,989 15.3% 1.7x
CDH Fund V, L.P. 2014 $200,000,000 $227,966,964 $221,529,999 $329,707,662 8.3% 1.4x
Cedar Street Partners LP 2021 $500,000,000 $239,178,993 $0 $302,184,013 25.4% 1 1.3x 1
Centerbridge Capital Partners III, L.P. 2015 $150,000,000 $198,565,667 $187,541,133 $335,199,101 16.9% 1.7x
Cerberus CAL II Partners, L.P. 2017 $500,000,000 $423,762,376 $457,085,791 $917,202,711 20.3% 2.2x
Cerberus CAL III Partners, L.P. 2019 $500,000,000 $455,916,094 $15,408,997 $363,283,550 -9.8% 1 0.8x 1
Cerberus CP Partners LP 2013 $600,000,000 $674,624,184 $1,084,518,111 $1,640,308,820 18.6% 2.4x
Cerberus Institutional Partners V, L.P. 2012 $400,000,000 $479,288,769 $762,304,122 $959,064,517 14.6% 2.0x
China Privatization Fund (Del), L.P. 2006 $100,000,000 $69,317,995 $133,415,962 $133,415,962 13.7% 1.9x
Clayton, Dubilier & Rice Fund X, L.P. 2018 $150,000,000 $160,772,790 $159,270,933 $366,217,858 35.5% 2.3x
Clayton, Dubilier & Rice Fund XI, L.P. 2021 $500,000,000 $356,672,251 $6,126,020 $381,565,789 5.0% 1 1.1x 1
Clearlake Capital Partners III, LP 2012 $50,000,000 $70,596,517 $201,138,284 $203,215,012 40.7% 2.9x
Clearlake Capital Partners IV, L.P. 2015 $56,700,000 $88,448,217 $142,769,367 $179,775,826 29.0% 2.0x
Clearlake Capital Partners V, L.P. 2018 $75,000,000 $107,804,173 $140,562,527 $228,046,743 39.8% 2.1x
Clearlake Capital Partners VII, L.P. 2022 $350,000,000 $202,474,482 $941,316 $212,004,260 N/M 1 N/M 1
Clearlake Opportunities Partners (P), L.P. 2015 $56,700,000 $80,640,403 $54,574,371 $107,174,166 9.7% 1.3x
Clearwater Capital Partners Fund I, L.P. 2007 $7,381,847 $41,735,012 $35,355,880 $35,355,880 -5.1% 0.8x
Clearwater Capital Partners Fund III, L.P. 2006 $150,000,000 $150,000,000 $154,031,855 $166,002,175 1.5% 1.1x
Clearwater ICPL Co-Investment Fund, L.P. 2017 $8,594,302 $8,594,302 $8,594,302 $8,594,302 0.0% 1.0x
Coastal Pacific Partners, L.P. 2023 $39,999,880 $15,029,880 $0 $14,960,696 N/M 1 N/M 1
Coefficient Capital Apex Fund I, LP 2023 $83,726,563 $8,824,943 $0 $5,307,163 N/M 1 N/M 1
Coller International Partners V-A, L.P. 2006 $375,000,000 $322,288,690 $442,974,725 $443,080,575 7.5% 1.4x
Crestline Pacific Co-Investment, L.P. 2022 $500,000,000 $2,494,995 $46,036 $46,036 N/M 1 N/M 1
Crosspoint Capital Fund II, LP 2023 $300,000,000 $179,971,310 $416,541 $160,504,673 N/M 1 N/M 1
CV Consortio Fund L.P. 2023 $329,000,000 $265,434,550 $0 $278,727,912 N/M 1 N/M 1
CVC Capital Partners Asia V L.P. 2020 $200,000,000 $139,074,597 $1,831,959 $186,671,395 20.6% 1 1.3x 1
CVC Capital Partners Strategic Opportunities Compounding Capital L.P. 2017 $1,003,621,220 $1,056,174,925 $560,562,859 $1,736,783,810 11.7% 1.6x
CVC Capital Partners VI, L.P. 2014 $578,026,653 $659,297,522 $837,757,753 $1,295,284,632 16.6% 2.0x
CVC Capital Partners VII (A) L.P. 2018 $557,655,517 $541,005,756 $191,913,617 $974,739,147 21.5% 1.8x
CVC Capital Partners VIII (A) L.P. 2021 $801,293,318 $459,712,738 $533,754 $503,856,454 7.5% 1 1.1x 1
CVC Credit Strategic Investment A L.P. 2014 $203,341,651 $166,936,340 $240,442,261 $240,531,533 19.6% 1.4x
CVC European Equity Partners III LP 2001 $200,000,000 $234,497,567 $592,407,402 $607,057,740 41.0% 2.6x
CVC European Equity Partners IV (D) L.P. 2005 $333,641,987 $406,865,452 $726,781,649 $727,185,829 17.2% 1.8x
CVC European Equity Partners Tandem Fund (B) L.P. 2007 $476,680,622 $570,492,765 $734,978,678 $735,182,488 6.8% 1.3x
CVC European Equity Partners V (B) L.P. 2008 $575,769,635 $710,667,384 $1,290,077,106 $1,301,266,615 16.4% 1.8x
Dragoneer Opportunities Fund VI, L.P. 2022 $50,000,000 $12,164,249 $0 $8,853,367 N/M 1 N/M 1
DS Opportunities (C) LP 2021 $481,171,349 $129,902,514 $0 $233,002,137 45.6% 1 1.8x 1
EMAlternatives Investments, L.P. 2007 $100,000,000 $116,693,919 $125,771,803 $138,723,072 3.4% 1.2x
EQT IX (No.2) USD SCSp 2021 $750,000,000 $781,583,055 $94,299,275 $887,394,010 7.9% 1 1.1x 1
EQT X (No.2) USD SCSp 2022 $500,000,000 $66,494,987 $13,141,172 $62,724,395 N/M 1 N/M 1
Essex Woodlands Health Ventures Fund VIII, L.P. 2008 $125,000,000 $127,644,136 $111,021,861 $111,021,861 -2.5% 0.9x
First Reserve Fund XI, L.P. 2006 $500,000,000 $570,173,986 $390,721,510 $390,871,751 -9.4% 0.7x
First Reserve Fund XIII, LP 2014 $400,000,000 $478,953,225 $258,335,735 $433,507,812 -3.0% 0.9x
Forbion Growth Opportunities Fund II Cooperatief U.A. 2023 $16,502,686 $3,305,323 $4,125,150 $7,156,430 N/M 1 N/M 1
Forbion Ventures Fund VI Cooperatief U.A. 2023 $169,409,166 $11,012,064 $0 $8,600,433 N/M 1 N/M 1
Forecastle, L.P. 2020 $500,000,000 $454,888,750 $2,790,528 $560,267,850 13.5% 1 1.2x 1
Fourth Street Partners - CPS L.P. 2021 $500,000,000 $450,215,826 $18,152,374 $549,079,616 11.9% 1 1.2x 1
Francisco Partners Agility II, L.P. 2020 $50,000,000 $31,825,000 $0 $44,632,266 21.4% 1 1.4x 1
Francisco Partners II, L.P. 2006 $175,000,000 $174,005,517 $286,882,216 $287,304,379 10.4% 1.7x
Francisco Partners III, L.P. 2011 $100,000,000 $95,284,663 $285,181,776 $327,065,245 23.3% 3.4x
Francisco Partners VI, L.P. 2021 $250,000,000 $230,125,000 $0 $287,568,766 17.2% 1 1.2x 1
Francisco Partners, L.P. 2000 $50,000,000 $52,654,785 $66,630,510 $66,630,510 4.4% 1.3x
GC Customer Value Fund II, L.P. 2023 $280,494,000 $76,732,842 $0 $78,865,422 N/M 1 N/M 1
GCM Grosvenor DEM II, L.P. 2014 $250,000,000 $258,740,659 $199,815,330 $439,478,490 16.7% 1.7x
GCM Grosvenor DEM III, L.P. 2019 $550,000,000 $420,402,305 $85,647,324 $662,891,706 27.6% 1 1.6x 1
GCM Grosvenor DEM, L.P. 2012 $100,000,000 $114,404,461 $112,358,255 $162,244,319 10.0% 1.4x
General Atlantic Managed Account 2020 $1,050,000,000 $678,610,146 $16,147,795 $744,982,733 5.2% 1 1.1x 1
General Catalyst Group XI - Health Assurance, L.P. 2023 $200,000,000 $54,524,483 $0 $62,714,702 N/M 1 N/M 1
Genstar Capital Partners X, L.P. 2021 $100,000,000 $70,755,399 $294,252 $74,186,953 4.7% 1 1.0x 1
Genstar X Opportunities Fund I, L.P. 2021 $150,000,000 $96,615,576 $444,671 $104,159,045 5.9% 1 1.1x 1
Grandval II, L.P. 2019 $1,050,000,000 $601,513,959 $0 $926,656,689 18.1% 1 1.5x 1
Grandval, L.P. 2018 $50,000,000 $49,754,644 $0 $92,698,615 26.9% 1.9x
GranTain Co-Invest L.P. 2021 $350,000,000 $111,812,335 $0 $114,154,750 1.3% 1 1.0x 1
Green Equity Investors CF II, L.P. 2021 $60,537,375 $60,708,143 $0 $87,599,992 23.0% 1 1.4x 1
Green Equity Investors CF, L.P. 2021 $186,639,450 $171,831,949 $89,371,232 $233,262,327 19.0% 1 1.4x 1
Green Equity Investors IX, L.P. 2023 $500,000,000 $4,808,140 $0 $7,583,667 N/M 1 N/M 1
Green Equity Investors V, L.P. 2007 $400,000,000 $445,789,540 $1,023,767,776 $1,028,392,817 18.5% 2.3x
Green Equity Investors VIII, L.P. 2020 $600,000,000 $537,161,419 $8,315,218 $640,729,127 9.0% 1 1.2x 1
Greenbriar Equity Fund VI, L.P. 2023 $95,000,000 $13,798,464 $5,659 $12,959,852 N/M 1 N/M 1
Greenleaf Co-Invest Partners, L.P. 2021 $975,000,000 $455,065,026 $8,369,204 $536,190,948 9.2% 1 1.2x 1
GSO Energy Partners-C II LP 2016 $250,000,000 $231,067,593 $268,996,461 $295,388,546 7.9% 1.3x
GSO Energy Partners-C LP 2013 $400,000,000 $476,770,486 $368,349,078 $411,455,560 -3.7% 0.9x
H.I.G. Europe Middle Market LBO Fund, L.P. 2021 $105,753,821 $27,768,014 $580,271 $39,937,928 44.1% 1 1.4x 1
Healthcare and Fintech, L.P. 2022 $200,000,000 $69,454,156 $0 $118,738,218 N/M 1 N/M 1
Hellman & Friedman Capital Partners IX, L.P. 2020 $650,000,000 $672,979,677 $56,591,273 $939,435,242 13.8% 1 1.4x 1
Hellman & Friedman Capital Partners VI 2007 $600,000,000 $612,793,602 $1,121,320,404 $1,121,320,404 12.9% 1.8x
Hellman & Friedman Capital Partners VII 2011 $300,000,000 $286,896,670 $901,416,976 $971,810,662 24.7% 3.4x
Hellman & Friedman Capital Partners VIII, L.P. 2016 $500,000,000 $515,414,830 $272,194,222 $895,304,112 13.2% 1.7x
Hellman & Friedman Capital Partners X, L.P. 2021 $1,000,000,000 $718,590,184 $2,707,901 $793,823,980 7.0% 1 1.1x 1
Hg Genesis 10 A L.P. 2023 $132,771,945 $23,911,475 $0 $25,193,944 N/M 1 N/M 1
Hg Mercury 4 A L.P. 2023 $52,936,688 $350,080 $0 $50,692 N/M 1 N/M 1
Hg Saturn 3 A L.P. 2023 $150,000,000 $46,334,574 $0 $46,673,003 N/M 1 N/M 1
HongShan Capital Growth Fund VII, L.P. 2023 $104,000,000 $8,320,000 $0 $7,287,345 N/M 1 N/M 1
HongShan Capital Seed Fund III, L.P. 2022 $12,000,000 $2,400,000 $0 $2,037,669 N/M 1 N/M 1
HongShan Capital Venture Fund IX, L.P. 2022 $32,000,000 $4,160,000 $0 $3,298,874 N/M 1 N/M 1
ICV Partners II, L.P. 2005 $31,220,000 $40,135,407 $62,039,828 $62,039,828 11.8% 1.5x
Innovation Opportunities, L.P. 2023 $400,000,000 $86,073,200 $0 $82,666,003 N/M 1 N/M 1
Insight Partners XI, L.P. 2020 $400,000,000 $389,200,000 $2,461,539 $567,967,098 15.0% 1 1.5x 1
Insight Partners XII Buyout Annex Fund, L.P. 2021 $150,000,000 $108,480,208 $0 $118,149,694 5.8% 1 1.1x 1
Insight Partners XII, L.P. 2021 $600,000,000 $449,729,570 $663,047 $399,039,441 -7.5% 1 0.9x 1
Insight Venture Partners Growth-Buyout Coinvestment Fund (B), L.P. 2015 $400,000,000 $427,800,000 $649,182,431 $1,534,792,700 29.3% 3.6x
Insight Venture Partners IX, L.P. 2015 $100,000,000 $105,668,637 $146,815,020 $388,977,794 25.3% 3.7x
Insight Venture Partners VI, L.P. 2007 $68,000,000 $73,833,084 $186,730,689 $186,730,689 19.2% 2.5x
Insight Venture Partners X, L.P. 2018 $250,000,000 $261,808,718 $137,735,764 $658,479,535 26.2% 2.5x
Jade Equity Investors, L.P. 2020 $155,000,000 $124,277,500 $26,097,729 $169,991,025 23.0% 1 1.4x 1
K5 Private Investors, L.P. 2021 $150,000,000 $82,523,221 $0 $91,452,472 7.2% 1 1.1x 1
Khosla Ventures III, L.P. 2009 $200,000,000 $199,100,000 $357,151,161 $378,168,713 10.0% 1.9x
Khosla Ventures Seed, L.P. 2009 $60,000,000 $60,000,000 $12,484,329 $91,699,725 4.1% 1.5x
KKR 2006 Fund L.P. 2006 $400,000,000 $595,398,103 $940,536,675 $940,667,514 8.2% 1.6x
KKR Asian Fund II L.P. 2013 $350,000,000 $640,725,448 $594,843,471 $745,266,322 4.1% 1.2x
KKR Asian Fund IV SCSp 2021 $300,000,000 $141,124,117 $3,281,513 $159,186,040 9.1% 1 1.1x 1
KKR Asian Fund L.P. 2007 $272,575,591 $355,648,095 $601,148,863 $601,148,863 13.6% 1.7x
KKR European Fund II, L.P. 2005 $203,441,139 $236,198,253 $294,468,724 $295,183,185 3.9% 1.2x
KKR European Fund III, L.P. 2008 $318,692,211 $420,900,950 $590,797,902 $594,411,884 9.5% 1.4x
KKR European Fund V (USD) SCSp 2020 $300,000,000 $276,391,695 $50,990,934 $344,702,919 10.7% 1 1.2x 1
KKR North America Fund XIII SCSp 2022 $600,000,000 $263,819,858 $0 $279,790,937 N/M 1 N/M 1
KM Corporate Partners Fund II, LP 2007 $200,000,000 $195,212,804 $238,176,799 $275,403,208 6.0% 1.4x
KPS Special Situations Fund III, LP 2007 $175,000,000 $244,861,859 $428,425,837 $428,425,837 23.5% 1.7x
Lightspeed Opportunity Fund II, LP 2022 $200,000,000 $72,000,000 $0 $71,068,242 N/M 1 N/M 1
Lightspeed Venture Partners Select V, L.P. 2022 $100,000,000 $48,000,000 $0 $43,550,427 N/M 1 N/M 1
Lightspeed Venture Partners XIV-A (Inception), L.P. 2022 $45,000,000 $22,950,000 $0 $21,532,354 N/M 1 N/M 1
Lightspeed Venture Partners XIV-B (Ignite), L.P. 2022 $55,000,000 $24,200,000 $0 $25,836,460 N/M 1 N/M 1
Lime Rock Partners IV, LP 2006 $43,000,000 $47,917,078 $139,501,029 $139,599,807 14.6% 2.9x
Lindsay Goldberg IV, L.P. 2015 $250,000,000 $210,396,221 $352,105,903 $450,832,100 31.6% 2.1x
Lindsay Goldberg V L.P. 2020 $250,000,000 $152,566,361 $34,203,458 $216,557,035 26.0% 1 1.4x 1
LongRange Capital Fund I, L.P. 2020 $1,500,000,000 $595,186,976 $3,123,450 $656,705,920 7.9% 1 1.1x 1
Lux Ventures VIII, L.P. 2023 $300,000,000 $18,000,000 $0 $16,370,024 N/M 1 N/M 1
Madison Dearborn Capital Partners IV, L.P. 2000 $150,000,000 $174,113,440 $311,241,724 $311,241,724 13.9% 1.8x
Madison Dearborn Capital Partners V, L.P. 2006 $300,000,000 $351,612,894 $530,094,898 $543,675,476 7.5% 1.5x
Madison Dearborn Capital Partners VIII, LP 2020 $400,000,000 $310,452,424 $67,335,292 $346,204,037 8.0% 1 1.1x 1
Magnolia Opportunities LLC 2023 $100,000,000 $3,267,000 $0 $3,267,000 N/M 1 N/M 1
Middlefield Road Private Opportunities Fund, L.P. 2021 $800,000,000 $106,456,220 $0 $117,910,577 5.2% 1 1.1x 1
Moreton Bay SPV, LP 2023 $730,000,000 $726,070,122 $0 $702,364,530 N/M 1 N/M 1
Muir Woods Partners, L.P. 2023 $250,000,000 $40,119,600 $0 $40,034,611 N/M 1 N/M 1
New Mountain Partners III, L.P. 2007 $400,000,000 $470,815,270 $1,054,284,551 $1,069,988,267 14.6% 2.3x
New Mountain Partners VI, L.P. 2021 $600,000,000 $430,062,778 $5,187,598 $525,147,154 15.7% 1 1.2x 1
Newbridge Asia IV, L.P. 2005 $180,000,000 $195,554,362 $413,553,987 $413,553,987 16.8% 2.1x
NM Pacific, L.P. 2021 $310,000,000 $246,681,215 $595,276 $309,827,606 19.4% 1 1.3x 1
NMP III Continuation Fund, L.P. 2021 $90,723,142 $80,071,838 $24,834,130 $103,868,555 17.6% 1 1.3x 1
Nordic Bear SCSp 2021 $1,250,000,000 $844,883,282 $6,281,884 $923,391,880 6.6% 1 1.1x 1
Oak HC/FT Partners V, L.P. 2022 $200,000,000 $28,927,348 $248 $31,412,959 N/M 1 N/M 1
Oak Hill Capital Partners II, L.P. 2004 $75,000,000 $86,803,036 $137,023,865 $137,196,687 9.7% 1.6x
Oaktree Latigo Investment Fund, L.P. 2020 $1,000,000,000 $480,000,000 $202,500,000 $624,186,489 12.1% 1 1.3x 1
Oaktree Opportunities Fund VIIIb, L.P. 2011 $200,000,000 $200,000,000 $267,674,146 $332,040,557 8.1% 1.7x
OHA Black Bear Fund, L.P. 2020 $1,000,000,000 $260,000,000 $134,158,416 $380,249,895 14.0% 1 1.5x 1
Onex Partners IV, L.P. 2014 $300,000,000 $307,294,407 $247,704,554 $445,680,455 8.0% 1.5x
Onex Partners V-B LP 2018 $500,000,000 $448,982,585 $52,110,259 $593,309,811 11.0% 1.3x
Orchard Park, L.P. 2023 $303,000,000 $270,848,702 $0 $320,282,157 N/M 1 N/M 1
PAG Asia I LP 2012 $100,000,000 $120,789,383 $202,541,043 $224,118,658 17.8% 1.9x
PAG Asia III LP 2019 $380,000,000 $339,141,367 $52,147,598 $405,107,495 8.2% 1 1.2x 1
Palladium Equity Partners III, L.P. 2004 $193,750,000 $253,925,400 $443,590,623 $443,630,591 15.5% 1.7x
Palladium Equity Partners V, L.P. 2018 $75,000,000 $70,598,822 $17,156,923 $95,006,588 11.1% 1.3x
Pantheon Global Secondary Fund VII Feeder (US) LP 2023 $200,000,000 $0 $0 $11,451,295 N/M 1 N/M 1
Patient Square Equity Partners, LP 2023 $300,000,000 $128,038,642 $0 $140,040,915 N/M 1 N/M 1
Patria Brazilian Private Equity Fund V, L.P. 2015 $150,000,000 $142,133,667 $15,783,310 $255,353,621 14.6% 1.8x
Permira Europe III 2004 $126,989,866 $126,989,866 $219,269,985 $219,599,167 26.6% 1.7x
Permira Growth Opportunities I L.P. 1 2019 $200,000,000 $185,466,438 $52,662,033 $223,063,229 8.0% 1 1.2x 1
Permira Growth Opportunities II SCSP 2022 $155,000,000 $53,087,500 $0 $38,891,699 N/M 1 N/M 1
Permira IV L.P.2 2006 $288,384,541 $354,598,629 $492,791,364 $556,079,688 8.2% 1.6x
Permira V, L.P. 2014 $269,034,335 $271,720,112 $574,408,880 $756,785,188 21.3% 2.8x
Permira VI L.P. 1 2017 $497,449,920 $477,878,826 $288,844,079 $904,402,006 17.1% 1.9x
Permira VII L.P.1 2020 $621,662,951 $594,664,132 $45,924,193 $648,417,723 4.0% 1 1.1x 1
Permira VIII-2 SCSp 2023 $691,966,384 $215,408,250 $0 $216,889,167 N/M 1 N/M 1
Phoenix Bear Partners, L.P. 2023 $750,000,000 $248,103,792 $0 $248,025,721 N/M 1 N/M 1
Project Quail Opportunities, L.P. 2022 $600,000,000 $220,828,958 $0 $222,848,358 N/M 1 N/M 1
Prysm Capital Fund I, L.P. 2023 $100,000,000 $89,976,537 $0 $70,967,768 N/M 1 N/M 1
PSG Encore L.P. 2022 $100,000,000 $32,870,283 $73,985 $29,186,638 N/M 1 N/M 1
PSG V L.P. 2021 $100,000,000 $70,041,959 $6,356,092 $74,925,946 8.0% 1 1.1x 1
Q-Street Capital, L.P. 2021 $400,000,000 $195,291,695 $0 $220,506,389 9.4% 1 1.1x 1
Red Admiral Fund LP 2023 $375,000,000 $231,394,567 $0 $229,496,871 N/M 1 N/M 1
Redwood Lane Capital, L.P. 2022 $700,000,000 $327,546,336 $0 $478,196,570 N/M 1 N/M 1
Redwood Opportunities SCSp 2020 $600,000,000 $503,397,171 $0 $577,630,666 8.6% 1 1.1x 1
Riverstone Global Energy and Power Fund V, L.P. 2012 $400,000,000 $529,944,454 $339,512,859 $427,278,456 -5.1% 0.8x
Riverstone Global Energy and Power Fund VI, L.P. 2016 $500,000,000 $638,191,714 $447,208,676 $705,978,178 3.0% 1.1x
Rubicon Partners SCSp 2023 $479,921,796 $171,166,052 $0 $164,768,208 N/M 1 N/M 1
Sacramento Private Equity Partners, L.P. 2006 $605,000,000 $526,270,716 $927,800,556 $1,010,515,113 11.4% 1.9x
SAIF Partners III L.P. 2007 $100,000,000 $127,020,773 $144,603,813 $240,109,409 7.0% 1.9x
SAIF Partners IV L.P. 2010 $120,000,000 $151,916,026 $113,616,787 $219,473,014 4.9% 1.4x
Samson Partners, L.P. 2020 $238,801,883 $172,155,918 $22,795,314 $235,720,418 12.0% 1 1.4x 1
Sierra Partners, L.P. 2020 $150,000,000 $61,156,195 $19,290,698 $79,351,851 22.0% 1 1.3x 1
SignalFire Sage Fund, L.P. 2023 $100,000,000 $7,473,435 $0 $7,453,886 N/M 1 N/M 1
Silver Lake Partners II, L.P. 2004 $125,000,000 $135,417,964 $237,692,578 $237,692,578 11.0% 1.8x
Silver Lake Partners III, L.P. 2007 $480,000,000 $612,522,173 $1,154,714,436 $1,185,483,570 18.5% 1.9x
Silver Lake Partners IV, L.P. 2013 $320,000,000 $376,740,921 $413,097,357 $955,857,597 22.1% 2.5x
Silver Lake Partners V, L.P. 2018 $400,000,000 $401,339,105 $161,294,536 $609,757,990 13.4% 1.5x
Silver Lake Partners VI, L.P. 2021 $800,000,000 $753,408,485 $63,450,527 $792,962,762 3.5% 1 1.1x 1
Silver Lake Technology Investors IV, LP 2013 $80,000,000 $86,323,465 $118,380,817 $275,411,176 29.0% 3.2x
Silver Lake Technology Investors V, L.P. 2018 $100,000,000 $93,506,652 $45,102,596 $165,446,906 16.7% 1.8x
Siris Partners IV, L.P. 2019 $100,000,000 $92,613,269 $12,445,632 $132,814,578 13.8% 1 1.4x 1
SL SPV-1, L.P. 2017 $38,675,166 $83,406,307 $7,248,831 $79,805,885 -0.8% 1.0x
SL SPV-2, L.P. 2019 $28,417,191 $50,283,527 $10,764,388 $138,838,445 25.8% 1 2.8x 1
SPRINGBLUE A, L.P. 2021 $50,000,000 $29,499,224 $0 $24,280,641 -13.3% 1 0.8x 1
SPRINGBLUE B, L.P. 2021 $50,000,000 $39,875,000 $0 $37,381,300 -4.3% 1 0.9x 1
Springblue B-III, L.P. 2023 $40,000,000 $3,500,000 $0 $3,311,249 N/M 1 N/M 1
SR One Capital Fund II-A, LP 2023 $90,000,000 $29,387,398 $2,143,872 $24,502,083 N/M 1 N/M 1
SR One Capital Opportunities Fund I, LP 2023 $71,093,750 $11,635,753 $21,634 $10,819,167 N/M 1 N/M 1
Summit Partners Growth Equity Fund X-A, L.P. 2020 $250,000,000 $238,973,806 $58,798,247 $327,223,579 17.7% 1 1.4x 1
Summit Partners Growth Equity Fund XI-A, L.P. 2022 $400,000,000 $102,106,843 $0 $110,279,930 N/M 1 N/M 1
Sunrise Boulevard PE Partners L.P. 2021 $500,000,000 $343,364,726 $0 $382,370,565 10.9% 1 1.1x 1
TA Select Opportunities Fund II-A, L.P. 2021 $50,000,000 $26,250,000 $0 $25,065,306 -4.2% 1 1.0x 1
TA XIV-A, L.P. 2021 $150,000,000 $103,500,000 $4,500,000 $100,781,600 -2.3% 1 1.0x 1
Tailwind Capital Partners (PP), LP 2007 $77,510,000 $97,570,000 $145,519,018 $145,519,018 11.2% 1.5x
Tailwind Capital Partners II, LP 2014 $150,000,000 $155,365,607 $177,172,315 $262,479,337 12.3% 1.7x
Tailwind Capital Partners III, L.P. 2018 $200,000,000 $198,613,725 $93,042,513 $306,303,136 20.7% 1.5x
TCC Opportunities, L.P. 2021 $700,000,000 $358,566,743 $38,067,927 $403,099,426 12.7% 1 1.1x 1
TCP II Co-Invest B, L.P. 2015 $50,000,000 $57,176,158 $50,942,105 $120,864,287 15.4% 2.1x
TCV X, L.P. 2019 $175,000,000 $131,343,267 $31,950,247 $260,437,690 22.0% 1 2.0x 1
TCV XI, L.P. 2021 $300,000,000 $184,314,321 $0 $160,907,906 -8.3% 1 0.9x 1
The Rise Fund (A), L.P. 2018 $75,000,000 $79,768,651 $41,210,438 $121,655,624 13.8% 1.5x
The Veritas Capital Fund VIII, L.P. 2022 $625,000,000 $271,806,428 $128,363 $260,363,680 N/M 1 N/M 1
Thoma Bravo Fund XIV, L.P. 2021 $600,000,000 $590,862,589 $169 $662,380,747 5.7% 1 1.1x 1
Thoma Bravo Fund XV, L.P. 2022 $600,000,000 $407,362,118 $130,010 $428,308,938 N/M 1 N/M 1
Thomas H. Lee Equity Fund VI, L.P 2006 $240,000,000 $402,954,172 $556,367,009 $556,367,009 7.0% 1.4x
Tiger Global Private Investment Partners XV, L.P. 2022 $300,000,000 $270,000,000 $0 $200,674,062 N/M 1 N/M 1
Timber Coast Private Opportunities, L.P. 2023 $300,000,000 $34,988,337 $0 $34,058,128 N/M 1 N/M 1
Top Castle Sidecar VII, L.P. 2020 $500,000,000 $109,776,852 $39,515,962 $176,830,426 37.1% 1 1.6x 1
TowerBrook Investors II, L.P. 2005 $200,000,000 $195,738,362 $326,079,210 $327,971,315 10.1% 1.7x
TowerBrook Investors IV (Onshore), L.P. 2013 $380,000,000 $314,136,183 $397,134,221 $657,900,373 19.3% 2.1x
Towerbrook Investors V (Onshore) LP 2019 $400,000,000 $394,532,365 $28,951,116 $481,117,043 11.6% 1 1.2x 1
Towerbrook Structured Opportunities Fund (Onshore), L.P. 2016 $221,786,667 $284,977,883 $206,528,563 $365,065,827 8.6% 1.3x
Towerbrook Structured Opportunities Fund II (Onshore) LP 2019 $250,000,000 $207,621,998 $62,748,671 $251,694,238 13.2% 1 1.2x 1
TPG Asia V, L.P. 2007 $360,000,000 $350,599,460 $482,064,672 $503,217,291 6.3% 1.4x
TPG Biotechnology Partners II, L.P. 2006 $70,000,000 $71,952,784 $86,914,132 $86,914,132 2.9% 1.2x
TPG Biotechnology Partners III, L.P. 2008 $100,000,000 $100,076,482 $187,770,846 $231,915,395 11.8% 2.3x
TPG Golden Bear Partners, L.P. 2019 $500,000,000 $484,183,925 $41,206,194 $772,508,166 21.7% 1 1.6x 1
TPG Growth IV, L.P. 2018 $75,000,000 $79,546,637 $37,826,945 $120,174,523 14.9% 1.5x
TPG Growth V, L.P. 2021 $200,000,000 $156,775,460 $19,523,726 $202,606,464 16.8% 1 1.3x 1
TPG Healthcare Partners, L.P. 2019 $100,000,000 $97,219,072 $25,889,933 $124,995,260 18.8% 1 1.3x 1
TPG Partners IV, L.P. 2003 $200,000,000 $225,811,661 $428,892,245 $429,236,162 15.3% 1.9x
TPG Partners V, L.P. 2006 $600,000,000 $811,329,685 $1,006,586,349 $1,007,188,471 3.7% 1.2x
TPG Partners VIII, L.P. 2019 $150,000,000 $384,722,834 $325,655,307 $503,651,173 24.6% 1 1.3x 1
TPG STAR, L.P. 2007 $150,000,000 $171,879,025 $206,101,044 $221,458,781 6.4% 1.3x
TPG Tech Adjacencies II, L.P. 2023 $200,000,000 $74,697,871 $0 $73,409,328 N/M 1 N/M 1
Triangle Investment Opportunities, L.P. 2023 $410,000,000 $402,013,501 $0 $506,317,743 N/M 1 N/M 1
Trident IX, L.P. 2022 $500,000,000 $232,014,904 $0 $243,809,563 N/M 1 N/M 1
Trident VI 2014 $250,000,000 $265,675,659 $414,621,221 $706,807,732 22.8% 2.7x
Trident VII, L.P. 2017 $270,000,000 $319,043,850 $157,221,673 $631,771,920 20.3% 2.0x
Trident VIII, L.P. 2020 $400,000,000 $380,612,302 $31,352,056 $523,493,491 14.3% 1 1.4x 1
Triton Fund IV L.P. 2013 $92,496,872 $105,425,068 $101,173,457 $142,879,070 8.4% 1.4x
Triton Fund V, LP 2019 $280,133,035 $225,356,676 $53,989,233 $323,337,539 17.3% 1 1.4x 1
Valor Equity Partners IV L.P. 2017 $75,000,000 $73,215,457 $6,409,608 $175,374,732 20.5% 2.4x
Valor Equity Partners VI L.P. 2023 $300,000,000 $79,118,854 $0 $73,920,306 N/M 1 N/M 1
Vicente Capital Partners Growth Equity Fund, L.P. 2007 $40,422,297 $40,801,085 $56,560,761 $56,966,225 5.7% 1.4x
VIP IV LP 2020 $301,435,587 $246,086,649 $0 $275,154,398 8.6% 1 1.1x 1
VIP V S.C.Sp. 2023 $318,418,079 $13,612,507 $0 $8,871,502 N/M 1 N/M 1
Vista Equity Partners Fund VII-Z, L.P. 2019 $400,000,000 $378,039,579 $41,570,525 $479,436,628 9.0% 1 1.3x 1
W Capital Partners II, L.P. 2007 $141,125,000 $140,777,821 $196,424,678 $196,424,678 10.3% 1.4x
WCAS XIII, L.P. 2019 $400,000,000 $369,241,237 $148,814,466 $558,550,301 18.3% 1 1.5x 1
WCAS XIV, L.P. 2022 $400,000,000 $54,880,625 $0 $37,045,341 N/M 1 N/M 1
Welsh, Carson, Anderson & Stowe XI, L.P. 2009 $125,000,000 $125,000,000 $201,830,558 $210,570,874 11.7% 1.7x
Welsh, Carson, Anderson & Stowe XII, L.P. 2015 $350,000,000 $350,162,050 $541,754,421 $875,749,545 26.9% 2.5x
Whitney Global Partners L.P. 2021 $802,413,614 $560,366,182 $493,241 $628,537,500 10.4% 1 1.1x 1
Wigmore Street (BDC III) LP 2017 $32,638,588 $30,733,886 $41,290,438 $81,814,830 33.9% 2.7x
Wigmore Street BDC IV Co-Investment No.1 LP 2021 $49,105,215 $18,849,457 $0 $18,180,270 -3.0% 1 1.0x 1
Wigmore Street Co-investment No. 1 LP 2016 $99,265,655 $93,696,159 $143,998,663 $206,819,580 23.4% 2.2x
Wigmore Street VI Co-Investment No. 1 LP 2019 $98,870,933 $96,673,167 $2,569,508 $151,011,881 17.3% 1 1.6x 1
Yucaipa American Alliance Fund I, L.P. 2002 $200,000,000 $314,764,188 $352,867,991 $360,326,307 3.5% 1.1x
Yucaipa American Alliance Fund II, L.P. 2008 $400,000,000 $560,638,831 $609,366,269 $939,051,840 7.9% 1.7x
Yucaipa Corporate Initiatives Fund I, L.P. 2001 $200,000,000 $288,655,697 $220,089,977 $225,363,221 -3.7% 0.8x
Yucaipa Corporate Initiatives Fund II, L.P. 2008 $93,539,524 $91,400,621 $81,687,571 $83,025,427 -1.3% 0.9x

1Not Meaningful: Funds with a vintage year of 2019 or later are in the initial stages of their investment life cycle. Any performance analysis done on these funds would not generate meaningful results as private equity funds are understood to be long-term investments.

2Partnership investment is using a cash adjusted market value.