Case File
efta-efta00811791DOJ Data Set 9OtherValar Global Fund II LP
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DOJ Data Set 9
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efta-efta00811791
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Valar Global Fund II LP
Unaudited Financial Statements
June 30, 2018
VALAR
EFTA00811791
Valar Global Fund 11 LP
Statement of Assets, Liabilities, and Partners' Capital
June 30, 2018
Assets
Cash
$
404.138
Investments, at fair value (cost $52,964,083)
107.942.704
Interest receivable
94.782
Total assets
$
108.441,624
Partners' Capital
Contributions
$
69,179.430
Syndication costs
(315,000)
Net operating loss
(6.315238)
Net realized loss
(9,086.189)
Net unrealized gain
54.978.621
Total partners capital
$
108,441,624
EFTA00811792
Valar Global Fund II LP
Statement of Operations
January 1, 2018 through June 30. 2018
Income
Interest income
S
38,994
Expenses
Net management fees
855,128
Professional fees
133,324
General and administrative
22,810
Total expenses
1.011.262
Net operating loss
Net realized loss
(972,268)
(9.086.189)
Net change in unrealized appreciation
in fair value of investments
27,966.596
Net increase in partners' capital
resulting from operations
S
17.908,139
EFTA00811793
Valar Global Fund II LP
Schedule of Investments
June 30. 2018
Shares
Cost
Fair Value
Unrealized
Gain/(Loss)
N26 GmbH
Series A Preferred Shares
5.314
$
4,802,996
S 31.798.746
S 26.995.750
Series B Preferred Shares
2,127
5.562,347
12.727.876
7.165329
Breather Products Inc.
Series B-2 Preferred Shares
4,175.999
11.560.000
22.966.324
11.406.324
Series C Preferred Shares
1.050.985
5.779.997
5.779.997
Kalo Industries Inc. (0k/a Lystable Inc.)
Series A5 Preferred Shares
1.542.649
3,399.998
3,399,998
Series A4 Preferred Shares
3,028,446
4,705,599
6,674.695
1.969.096
Series A3 Preferred Shares
194,578
174.634
428.850
254.216
Series A2 Preferred Shares
319.095
179.012
703.285
524.273
Even Responsible Finance. Inc.
Series A Preferred Shares
1.627,564
3,093,999
6.484,866
3.390.867
Series B Preferred Shares
140,808
561,035
561.035
Granify, Inc.
Series A-3 Preferred Shares
1.215.895
3,782.163
3.782.163
Convertible Note
489,600
489,600
Trade It. Inc. (f/k/a Trading Ticket, Inc.)
Series Seed Preferred Shares
1.464255
1.160.000
1.700,000
340.000
Series Seed-2 Preferred Shares
1.101.479
1,278,817
1,278.817
Common Shares
329,662
107.780
382.738
274.958
Deposit Solutions GmbH
Series B Preferred Shares
668
1,153.583
2,134.987
981,404
Homie, Inc.
Series Seed-2 Preferred Shares
1,569,713
1,699,999
1,699,999
Convertibe Note
170.000
170.000
Common Shares
212,894
170,002
230.564
60.562
Vend Limited
Series D Preferred Shares
503,288
1,336,200
1,382.304
46.104
Stash Financial, Inc. (f7k/a Collective Returns, Inc.)
Series Seed-2 Preferred Shares
92,270
169,998
1,360,925
1,190,927
EFTA00811794
Valar Global Fund II LP
Schedule of Investments
June 30, 2018
Shares
Cost
Fair Value
Unrealized
Gain/(LossI
Eden, Ltd.
Series 1) Preference Shares
738.246
S
509,980
S
704.361
S
194.381
Convertible Note
195,103
195.103
IrisVR. Inc.
Series AA Preferred Shares
215,942
170.000
258.612
88.612
Series A Preferred Shares
129,308
154,859
154.859
Camera, Inc.
Series Seed Preferred Shares
275,660
170,000
265.618
95.618
Jopwell. Inc.
Series A-I Preferred Stock
170,622
226.382
226.382
Total Investments
$ 52,964.083
$107.942.704
S 54.978.621
EFTA00811795
VALAR
Limited Partner:
Fund:
Commitment:
Paid in Capital:
Remaining:
Unaudited Statement of
Changes in Partner's Capital
As of 06-30-2018
Southern Trust Company, Inc.
Velar Global Fund II LP
$15,000,000
$14,550,000
$450,000
Current
Quarter
Year to
Date
Inception to
Date
Partner's capital, beginning
$20,961,349
$17,718,634
$0
Contributions
$0
$300,000
$14,550,000
Net operating income/(loss)
Management fees
($91,322)
($180,217)
($1,123,095)
Partnership expenses
($15,626)
($32,575)
($298,468)
Interest income
$4,090
$8,136
$26,334
Total net operating income/(loss)
($102,858)
($204,656)
($1,395,229)
Distributions
$0
$0
$0
Transfer
$0
$0
$0
Net realized gain/(loss) on investments
($1,495,729)
($1,895,721)
($1,895,721)
Net unrealized gain/(loss) on investments
$1,637,709
$5,082,214
$9,741,421
Partner's capital, ending
$21,000,471
$21,000,471
$21,000,471
EFTA00811796
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