Case File
efta-efta00810352DOJ Data Set 9OtherValar Global Fund III LP
Date
Unknown
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DOJ Data Set 9
Reference
efta-efta00810352
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4
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0
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Valar Global Fund III LP
Unaudited Financial Statements
March 31, 2018
VALAR
EFTA00810352
Valar Global Fund HI LP
Statement of Assets, Liabilities, and Partners' Capital
March 31, 2018
Assets
Cash and cash equivalents
879,320
Investments, at fair value (cost $52,001,076)
84,152,228
Interest receivable
8,896
Total assets
$
85,040,444
Partners' Capital
Contributions
$
56,362,460
Syndication costs
(139,155)
Net operating loss
(3,334,013)
Net unrealized gain
32,151,152
Total partners capital
85,040,444
Total liabilities and partners' capital
$
85.040.444
EFTA00810353
Valar Global Fund III LP
Statement of Operations
January I, 2018 through March 31, 2018
Income
Interest income
2,096
Expenses
Gross management fee
403,283
Management fee reduction for syndication costs
(31,500)
Net management fee
371,783
Professional fees
75,285
General and administrative
24,207
Total expenses
471,275
Net operating loss
(469,179)
Net change in unrealized appreciation
in fair value of investments
6,910,798
Net increase in partners' capital
resulting from operations
$
6,441.619
EFTA00810354
Vida,- Global Fund III LP
Schedule of Investments
Match 31. 2018
Company
Shares
Cost
Fair Value
Unrealized
Gaminess)
Stash Financial. Inc.
SenesB Named Shares
1.647219
S 10.200.000
S 24.304.309
S 14.104.309
Series A Preferred Shams
693329
1.937.997
10.229,123
8.291,126
Series C Preferred Shares
217.494
2.692.576
3.207,902
515.326
Series D Pretested Shares
46.103
679,991
679,991
Octane Lending. Inc.
Series A-Ill Convertible Preferred Stock
1262226
8.473.658
8.473.658
Common Stock
129.127
516308
700.397
183.889
Coss AG
Series A Preferred Shares
11.914
4.422.963
8.514.///
4.113,259
Olinda S.A.S Okra Qonto/
Series A ()alma!). Shares
26.165
5.378.771
6.255.352
876.581
Series Seed Ordinary Shares
6.351
344346
1318.354
1.173,808
N26 GmbH
Preferred B Shams
1.098
4.114.464
6.930.282
2.595,818
Petal Card. Inc.
Series A Preferred Shares
4.485.326
5.405.889
5.647.025
241.136
Common Stock
18.100
70332
98.328
27.796
Jetty National. Inc.
Series A Preferred Shares
2.315.145
5.505351
5.505251
Spaceship Financial Services Pty Ltd
Convertible Notes
521.876
521.376
500
Brolly UK Technology Limited
Series Seed Preferred Shares
592.449
210.580
238,184
27,604
Convertible Notes
237375
237.575
Seed Platform. Inc.
Simple Agreement fa Hawse Equity
340.000
340.400
Simple. Inc.
Simple Agreement fa Fbuite Equity
217.600
217.600
Peak Ventures Fund IL..
Limited Partnership Intetests
204.000
204.000
Minor Al Inc.
Convertible Notes
170.0O)
170.000
Andutil Industries. Inc.
Series Seed Preferred Stock
123.143
68.000
68.0:0
Brat Inc.
Series Seed Preferred Stock
83.563
67.999
67,999
Taal Investments
S 52.001.076
S 84.152.228
S 32.151.152
EFTA00810355
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GPS
5.505351
5.505251Tail #
N26Forum Discussions
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