OHA Structured Products Fund II (Offshore), L.P. — Form D/A
OHA Structured Products Fund II (Offshore), L.P. of FORT WORTH, TX, a pooled investment fund, filed a Form D amendment with the SEC on 2021-08-17. $63.0M was reported sold. Industry: Pooled Investment Fund.
Offering
- Filed: 2021-08-17
- Form: D/A
- Accession: 0000950142-21-002642
- Industry: Pooled Investment Fund
- Exemptions: 06b, 3C, 3C.7
- Amount sold: $63.0M
- Minimum investment: $100K
- Investors: 4
- Date of first sale: 2020-08-18
- Security types: equity, fund interests
- Revenue range: Decline to Disclose
- SEC file number: 021-373367
Issuer
- Name: OHA Structured Products Fund II (Offshore), L.P.
- CIK: 0001820054
- Entity type: Limited Partnership
- Jurisdiction: CAYMAN ISLANDS
- Incorporated: 2018
- Address: 201 MAIN STREET, FORT WORTH, TX, 76102
- Phone: 817-215-2800
Officers, directors & promoters (1)
| Name | Role | Location |
|---|
| Glenn R August | Executive Officer | NEW YORK, NY |
Other filings by this issuer (1)
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