0001104659-21-151007.txt : 20211217 0001104659-21-151007.hdr.sgml : 20211217 20211217125838 ACCESSION NUMBER: 0001104659-21-151007 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20211031 FILED AS OF DATE: 20211217 PERIOD START: 20220131 FILER: COMPANY DATA: COMPANY CONFORMED NAME: AETOS LONG/SHORT STRATEGIES FUND LLC CENTRAL INDEX KEY: 0001169583 IRS NUMBER: 000000000 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21058 FILM NUMBER: 211500634 BUSINESS ADDRESS: STREET 1: CLIFFORD CHANCE US LLP STREET 2: 31 WEST 52ND STREET CITY: NEW YORK STATE: NY ZIP: 10019 BUSINESS PHONE: 212-201-2500 MAIL ADDRESS: STREET 1: AETOS ALTERNATIVES MANAGEMENT, LP STREET 2: 875 THIRD AVENUE, 6TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10022 FORMER COMPANY: FORMER CONFORMED NAME: AETOS CAPITAL LONG/SHORT STRATEGIES FUND LLC DATE OF NAME CHANGE: 20060605 FORMER COMPANY: FORMER CONFORMED NAME: AETOS LONG SHORT STRATEGIES FUND LLC DATE OF NAME CHANGE: 20020320 NPORT-P 1 primary_doc.xml NPORT-P false 0001169583 XXXXXXXX AETOS LONG/SHORT STRATEGIES FUND LLC 811-21058 0001169583 254900I9U7EX4E2X4B11 875 Third Avenue New York 10022 2122012500 AETOS LONG/SHORT STRATEGIES FUND LLC 254900I9U7EX4E2X4B11 2022-01-31 2021-10-31 N 583443716.36 3250717.45 580192998.91 0 0 0 0 0 0 0 0 0 0 0 0 0 19935377.13 N Kriticos International Limited 549300O3DCZ3ROU48W16 Kriticos International Limited / Class B / SP (November 2018) N/A 2000 NS USD 990770.79 0.001708 Long PF KY Y N/A N N N Woodline Fund LP N/A Woodline Fund LP / Class A USD N/A 1594.344407 OU LP Interest USD 28299653.7 0.048776 Long PF US Y N/A N N N Sachem Head LP 549300XUCQ2O928JKP21 Sachem Head LP / Class Common Series / ACLSFLLC N/A 484.815744 OU LP Interest USD 29354365.59 0.050594 Long PF US Y N/A N N N Naya Fund LP N/A Naya Fund LP / Class D / ACLSFLLC N/A 1090.294743 OU LP Interest USD 37695657.22 0.064971 Long PF US Y N/A N N N Kriticos International Limited N/A Kriticos International Limited / Class B / SP (December 2017) N/A 5000 NS USD 2203749.97 0.003798 Long PF KY Y N/A N N N Eton Park Fund, L.P. N/A Eton Park Fund, L.P. / Class E / ACLSFLLC N/A 1.125693 OU LP Interest USD 40189.96 0.000069 Long PF US Y N/A N N N Kriticos International Limited 549300O3DCZ3ROU48W16 Kriticos International Limited / Class B / SP (May 2013) N/A 6450.929331 NS USD 1676667.44 0.00289 Long PF KY Y N/A N N N Kriticos International Limited 549300O3DCZ3ROU48W16 Kriticos International Limited / Class B / SP (Nov 2013) N/A 11295.558736 NS USD 3443377.19 0.005935 Long PF KY Y N/A N N N Children's Investment Fund LP N/A The Children's Investment Fund LP / Class F1 USD New Issues / MAY 2020 N/A 1000 OU LP Interest USD 8098500 0.013958 Long PF US Y N/A N N N Cadian Fund LP 549300HER03L1RVG1658 Cadian Fund LP / Class A Blend / ACLSFLLC N/A 203.92018 OU LP Interest USD 31480720.76 0.054259 Long PF US Y N/A N N N Highfields Capital II LP 9UBO3GFT0NB4CQOTKP95 Highfields Capital II LP / ACLSFLLC N/A 56.722717 OU LP Interest USD 338744 0.000584 Long PF US Y N/A N N N North River Partners, L.P. U3CIGUZN1CD4S78KYL98 North River Partners, L.P. / Class A / ACLSFLLC N/A 1269.64669 OU LP Interest USD 30405537.11 0.052406 Long PF US Y N/A N N N MW Market Neutral TOPS Fund 7DPR22GRM1USIZ3QYV28 MW Market Neutral TOPS Fund / B USD Mainline N/A 69572.7212 NS USD 19135225.59 0.032981 Long PF IE Y N/A N N N MW TOPS Fund N/A MW TOPS Fund / Class A USD / MAINLINE N/A 98073.5625 NS USD 36115658.04 0.062248 Long PF IE Y N/A N N N Cadian Fund LP 549300HER03L1RVG1658 Cadian Fund LP / Class C Blend / ACLSFLLC N/A 294.855442 OU LP Interest USD 5119744.04 0.008824 Long PF US Y N/A N N N Kriticos International Limited 549300O3DCZ3ROU48W16 Kriticos International Limited / Class B / SP (September 2017) N/A 2500 NS USD 1063844.25 0.001834 Long PF KY Y N/A N N N Encompass Capital Fund L.P. N/A Encompass Capital Fund L.P. / Class Tranche 1 UR / ACLSFLLC N/A 575.968542 OU LP Interest USD 31850138.03 0.054896 Long PF US Y N/A N N N Nitorum Fund, L.P. N/A Nitorum Fund, L.P. / Class B / ACLSFLLC N/A 255.062455 OU LP Interest USD 10360052.12 0.017856 Long PF US Y N/A N N N Long Pond Capital QP Fund, LP N/A Long Pond Capital QP Fund, LP / Class B / ACLSFLLC N/A 575.368893 OU LP Interest USD 25061220.89 0.043195 Long PF US Y N/A N N N Egerton Capital Partners, L.P. N/A Egerton Capital Partners, L.P. / Class Series B10% / ACLSFLLC N/A 432.205274 OU LP Interest USD 58786398 0.101322 Long PF US Y N/A N N N Junto Capital Partners LP N/A Junto Capital Partners LP / Class J / ACLSFLLC N/A 1745.753869 OU LP Interest USD 57821998.94 0.09966 Long PF US Y N/A N N N Kriticos International Limited 549300O3DCZ3ROU48W16 Kriticos International Limited / Class B / SP (July 2016) N/A 2500 NS USD 802274.51 0.001383 Long PF KY Y N/A N N N Kriticos International Limited 549300O3DCZ3ROU48W16 Kriticos International Limited / Class B / SP (August 2016) N/A 2500 NS USD 853648.43 0.001471 Long PF KY Y N/A N N N Nitorum Fund, L.P. N/A Nitorum Fund, L.P. / Class A / ACLSFLLC N/A 847.104285 OU LP Interest USD 27652907.14 0.047662 Long PF US Y N/A N N N Viking Global Equities LP J4JZ17DKXS4P567SUN29 Viking Global Equities LP / Class H / ACLSFLLC N/A 1127.000794 OU LP Interest USD 66479511.98 0.114582 Long PF US Y N/A N N N Lakewood Capital Partners, LP UC3UX6ZJBQ77UJ37LI53 Lakewood Capital Partners, LP / Series 1 N/A 1220.159918 OU LP Interest USD 48377587.28 0.083382 Long PF US Y N/A N N N 2021-12-17 AETOS LONG/SHORT STRATEGIES FUND LLC Michael Klein Michael Klein President XXXX NPORT-EX 2 tm2135253d10_nportex.htm

 

AETOS MULTI-STRATEGY ARBITRAGE FUND, LLC

 

AETOS DISTRESSED INVESTMENT STRATEGIES FUND, LLC

 

AETOS LONG/SHORT STRATEGIES FUND, LLC

 

Quarterly Report (unaudited)

 

October 31, 2021

 

 

 

 

Aetos Multi-Strategy Arbitrage Fund, LLC
Schedule of Investments (Unaudited)
October 31, 2021

 

Investments  Date(s) of Acquisition  Cost   Fair Value   Percentage of
Members'
Capital (1)
   Liquidity
Investments in Portfolio Funds (2)                     
Commodity Trading Advisor (4)                     
GSA Trend Fund LP  08/01/18 - 10/01/20  $16,487,602   $18,463,381    3.50%   Daily
Total Commodity Trading Advisor      16,487,602    18,463,381    3.50    
                      
Convertible Arbitrage (5)                     
CNH CA II, Ltd.  04/01/21 - 07/01/21   15,000,000    15,728,448    2.98    Quarterly (10)
Total Convertible Arbitrage      15,000,000    15,728,448    2.98    
                      
Credit - Convertible Arbitrage (6)                     
Aequim Arbitrage Fund LP  03/01/19 - 01/01/21   30,031,906    43,489,394    8.23    Quarterly (9)
Total Credit - Convertible Arbitrage      30,031,906    43,489,394    8.23    
                      
Event Driven Arbitrage (7)                     
Davidson Kempner Partners  07/01/06 - 07/01/12   49,041,413    96,211,317    18.21    Semi-Annual
Farallon Capital Offshore Investors, Inc.  02/01/07 - 04/01/12   45,554,327    96,274,569    18.23    Semi-Annual (9)
Governors Lane Onshore Fund LP  08/01/15 - 08/01/16   35,000,000    48,591,602    9.20    Quarterly (9)
Luxor Capital Partners Liquidating SPV, LLC  07/01/16   279,527    211,444    0.04    In Liquidation (11)   
Oceanwood Opportunities Fund L.P.  02/01/12 - 07/01/16   33,386,852    57,673,912    10.92    Quarterly
Total Event Driven Arbitrage      163,262,119    298,962,844    56.60    
                      
Fixed Income Arbitrage (8)                     
FFIP, L.P.  07/01/07 - 04/01/12   35,017,709    76,601,423    14.50    Annual (9)
Parsec Onshore Partners, L.P.  04/01/08 - 04/01/12   30,757,405    53,426,877    10.11    Monthly
Total Fixed Income Arbitrage      65,775,114    130,028,300    24.61    
                      
Total investments in Portfolio Funds      290,556,741    506,672,367    95.92    

 

 

 

 

Aetos Multi-Strategy Arbitrage Fund, LLC
Schedule of Investments (Unaudited)
October 31, 2021

 

Investments  Date(s) of Acquisition  Cost   Fair Value   Percentage of
Members'
Capital (1)
   Liquidity
Money Market Investment                  
JPMorgan U.S. Government Money Market Fund, Agency Shares, 0.006% (3) (Shares 23,427,592)      23,427,592    23,427,592    4.44    
                      
Total investments     $313,984,333   $530,099,959    100.36%   

 

(1)Percentages are based on Members’ Capital of $528,208,740.
(2)Non-income producing investments.
(3)Rate disclosed is the 7-day effective yield as of 10/31/2021.
(4)Portfolio Funds in this strategy invest in futures contracts and foreign exchange forwards contracts using a variety of systematic trading strategies to meet investment objectives, which are typically the capturing of directional moves, both long and short, across diversified portfolios of markets and asset classes.
(5)Portfolio Funds in this strategy generally look to exploit relative mispricings between securities in a company’s capital structure where the manager can go long the undervalued security and hedge out resulting equity and/or credit betas. In convertible bonds, opportunities can be found where sellers do not properly assess the value of the embedded credit and equity option components, resulting in convertibles that trade either cheap or expensive to their fundamental value. This strategy is implemented with the use of leverage.
(6)Portfolio Funds in this strategy generally look to exploit relative mispricings between securities in a company’s capital structure where the manager can go long the undervalued security and hedge out resulting equity and/or credit betas. In convertible bonds, opportunities can be found where sellers do not properly assess the value of the embedded credit and equity option components, resulting in convertibles that trade either cheap or expensive to their fundamental value. In other corporate credit situations, opportunities arise when different components of a company’s capital structure imply very different fundamental outcomes (i.e. equity near zero and debt near par), creating the opportunity to structure long and short positions that have favorable payoff profiles. Both of these strategies are implemented with the use of leverage.
(7)Portfolio Funds in this strategy invest in securities of companies involved in certain special situations, including mergers, acquisitions, asset sales, spin-offs, balance sheet restructuring, bankruptcy and other situations. These special situations constitute an “event” which the Portfolio Managers believe will trigger a change in the price of securities relative to their current price or close the gap between securities that are being arbitraged.
(8)Portfolio Funds in this strategy look to exploit mispricings between related fixed income instruments, including sovereign debt, corporate debt and derivative instruments such as futures, options and swaps. Exploitable opportunities may be found in closely related securities trading at different prices, in the value between fixed income instruments and related derivative instruments, in the shape of yield curves and in credit spreads. These strategies typically require leverage in order to exploit relatively small mispricings.
(9)Portfolio Fund subject to investor-level percentage limitations on redemptions.
(10)Portfolio Fund subject to lock-up provision up to one year.

(11)Portfolio Fund in liquidation. Mandatory distributions are expected to be received when underlying investments of the Portfolio Fund are realized.

 

 

 

 

Aetos Multi-Strategy Arbitrage Fund, LLC
Schedule of Investments (Unaudited)
October 31, 2021

 

The aggregate cost of investments for tax purposes was $491,191,588. Net unrealized appreciation on investments for tax purposes was $38,908,371 consisting of $38,908,371 of gross unrealized appreciation and $0 of gross unrealized depreciation.

 

The investments in Portfolio Funds shown above, representing 95.92% of Members’ Capital, have been fair valued using NAV as a practical expedient.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual or annual financial statements.

 

 

 

 

 

Aetos Distressed Investment Strategies Fund, LLC
Schedule of Investments (Unaudited)

October 31, 2021

 

Investments  Date(s) of Acquisition  Cost   Fair Value   Percentage of Members' Capital (1)   Liquidity
Investments in Portfolio Funds (2)                     
Distressed - Long Biased (4)                     
AG Mortgage Value Partners, L.P.  05/01/13  $1,098,305   $2,171,768    0.83%  Side Pockets Only (10)
Centerbridge Credit Partners, L.P.  06/01/10 - 11/01/20   29,175,489    48,657,863    18.58   Bi-Annual (9)
Davidson Kempner Distressed Opportunities Fund LP  11/01/09 - 11/01/20   28,384,765    59,694,530    22.79   Annual (7)
Marble Ridge LP  02/01/17 - 06/01/20   3,367,396    2,884,644    1.10   In Liquidation (11)
Total Distressed - Long Biased      62,025,955    113,408,805    43.30    
                      
Distressed - Variable Biased (5)                     
Anchorage Capital Partners, L.P.  09/01/08 - 11/01/20   28,309,416    54,661,480    20.87   Annual (7)
Aurelius Capital Partners, LP  07/01/08 - 01/01/13   20,731,356    40,331,643    15.40   Semi-Annual
Carronade Capital Partners, LP  02/01/21 - 07/01/21   10,000,000    10,689,989    4.08   Quarterly (6) (8)
King Street Capital, L.P.  07/01/08   17,683,248    38,643,631    14.76   Quarterly (6)
Total Distressed - Variable Biased      76,724,020    144,326,743    55.11    
                      
Total investments in Portfolio Funds      138,749,975    257,735,548    98.41    
                      
Money Market Investment                     
JPMorgan U.S. Government Money Market Fund,Agency Shares, 0.006% (3) (Shares 8,822,423)      8,822,423    8,822,423    3.37    
                      
Total investments     $147,572,398   $266,557,971    101.78%   

 

 

 

 

Aetos Distressed Investment Strategies Fund, LLC
Schedule of Investments (Unaudited)

October 31, 2021

 

(1)Percentages are based on Members’ Capital of $261,895,479.
(2)Non-income producing investments.
(3)Rate disclosed is the 7-day effective yield as of 10/31/2021.
(4)Portfolio Funds in this strategy invest in securities of companies in various levels of financial distress, including bankruptcy, exchange offers, workouts, financial reorganizations and other credit-related situations. Corporate bankruptcy or distress often causes a company’s securities to trade at a discounted value. The Portfolio Funds will tend to run their investment portfolios with a long bias net exposure.
(5)Portfolio Funds in this strategy invest in securities of companies in various levels of financial distress, including bankruptcy, exchange offers, workouts, financial reorganizations and other credit-related situations. Corporate bankruptcy or distress often causes a company’s securities to trade at a discounted value. The Portfolio Funds will tend to run their investment portfolios with a variable net exposure.
(6)Portfolio Fund subject to investor-level percentage limitations on redemptions.
(7)Portfolio Fund subject to lock-up provision up to one year.
(8)Portfolio Fund subject to lock-up provision up to eighteen months.
(9)Portfolio Fund subject to lock-up provision up to three years.
(10)Portfolio Fund represents investments in securities which are illiquid or are subject to an anticipated event. These securities are held by the Portfolio Fund in “side pockets.” Side pockets are series or classes of shares which are not redeemable by the investors but which are automatically redeemed or converted back into the Portfolio Fund’s regular series or classes of shares upon the realization of those securities or the happening of some other liquidity event with respect to those securities. These “side pockets” can often be held for long periods before they are realized, and may therefore be much less liquid than the general liquidity offered on the Portfolio Fund’s regular series or classes of shares. Should the Funds seek to liquidate their investment in a Portfolio Fund that maintains investments in a side pocket arrangement or that holds a substantial portion of its assets in illiquid securities, the Funds might not be able to fully liquidate their investments without delay, which could be considerable. In such cases, during the period until the Funds are permitted to fully liquidate the investment in the Portfolio Fund, the value of the investment could fluctuate.
(11)Portfolio Fund in liquidation. Mandatory distributions are expected to be received when underlying investments of the Portfolio Fund are realized.

 

The aggregate cost of investments for tax purposes was $220,665,898. Net unrealized appreciation on investments for tax purposes was $45,892,073 consisting of $49,082,155 of gross unrealized appreciation and $3,190,082 of gross unrealized depreciation.

 

The investments in Portfolio Funds shown above, representing 98.41% of Members’ Capital, have been fair valued using NAV as a practical expedient.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual or annual financial statements.

 

 

 

 

 

Aetos Long/Short Strategies Fund, LLC
Schedule of Investments (Unaudited)
October 31, 2021

 

Investments  Date(s) of Acquisition   Cost   Fair Value   Percentage of
Members'
Capital (1)
   Liquidity 
Investments in Portfolio Funds (2)                       
Directional Equity (4)                       
Egerton Capital Partners, L.P.  07/01/11 - 05/01/15   $24,724,341    $58,786,398    10.13%  Monthly 
Sachem Head LP  08/01/16 - 09/01/17    13,388,555    29,354,366    5.06   Quarterly (8) 
The Children's Investment Fund LP  05/01/20    5,000,000    8,098,500    1.40   Monthly 
Total Directional Equity       43,112,896    96,239,264    16.59     
                        
Equity Hedged - Generalist (5)                       
Eton Park Fund, L.P.  05/01/15    39,293    40,190    0.01   In Liquidation (11) 
Highfields Capital II LP  07/01/15    1,725,661    338,744    0.06   In Liquidation (11) 
Junto Capital Partners LP  01/01/19 - 10/01/19    45,000,000    57,821,999    9.96   Quarterly (8)   
Lakewood Capital Partners, LP  07/01/17 - 05/01/19    37,552,909    48,377,587    8.34   Quarterly  
MW Market Neutral TOPS Fund  10/01/20    10,492,447    19,135,226    3.30   Monthly  
MW TOPS Fund  05/01/15 - 05/01/19    26,143,993    36,115,658    6.22   Monthly  
Naya Fund LP  02/01/19 - 07/01/19    27,360,072    37,695,657    6.50   Quarterly  
Nitorum Fund, L.P.  12/01/17 - 06/01/19    33,401,078    38,012,959    6.55   Annual (10) 
Viking Global Equities LP  08/01/06 - 03/01/11    14,706,334    66,479,512    11.46   Annual  
Total Equity Hedged - Generalist       196,421,787    304,017,532    52.40     
                        
Equity Hedged - Sector Specialist (6)                       
Cadian Fund LP  05/01/10 - 11/01/13    12,657,376    36,600,465    6.31   Quarterly (8) 
Encompass Capital Fund L.P.  06/01/15 - 07/01/16    14,100,431    31,850,138    5.49   Quarterly (8) 
Long Pond Capital QP Fund, LP  02/01/14    14,555,718    25,061,221    4.32   Quarterly (8) 
North River Partners, L.P.  11/01/13    16,000,533    30,405,537    5.24   Quarterly  
Woodline Fund LP  08/01/20 - 04/01/21    25,000,000    28,299,654    4.87   Quarterly (9)   
Total Equity Hedged - Sector Specialist       82,314,058    152,217,015    26.23     

 

 

 

 

Aetos Long/Short Strategies Fund, LLC
Schedule of Investments (Unaudited)
October 31, 2021

 

Investments  Date(s) of Acquisition   Cost   Fair Value   Percentage
of Members'
Capital (1)
   Liquidity 

Short-Biased Equity (7)

                       
Kriticos International Limited  05/01/13 - 11/01/18    31,110,435    11,034,332    1.90   Quarterly  
Total Short-Biased Equity       31,110,435    11,034,332    1.90     
                        
Total investments in Portfolio Funds       352,959,176    563,508,143    97.12     
                        
Money Market Investment                       
JPMorgan U.S. Government Money Market Fund, Agency Shares, 0.006% (3) (Shares 19,935,377)       19,935,377    19,935,377    3.44     
                        
Total investments      $372,894,553   $583,443,520    100.56%    

 

(1) Percentages are based on Members’ Capital of $580,192,999. 

(2) Non-income producing investments

(3) Rate disclosed is the 7-day effective yield as of 10/31/2021. 

(4) Portfolio Funds in this strategy make investments that combine long positions in undervalued common stocks or corporate bonds and short positions in overvalued common stocks or corporate bonds in order to focus on generating positive returns through the Portfolio Managers’ ability to select securities through fundamental analysis, while hedging out some portion of market risk. The Portfolio Funds will tend to run their investment portfolios with a relatively high or variable net exposure. 

(5) Portfolio Funds in this strategy make investments that combine long positions in undervalued common stocks or corporate bonds and short positions in overvalued common stocks or corporate bonds in order to focus on generating positive returns through the Portfolio Managers’ ability to select securities through fundamental analysis, while hedging out some portion of market risk. The Portfolio Funds will tend to run their investment portfolios with a relatively low net exposure and will invest broadly across all market sectors. 

(6) Portfolio Funds in this strategy make investments that combine long positions in undervalued common stocks or corporate bonds and short positions in overvalued common stocks or corporate bonds in order to focus on generating positive returns through the Portfolio Managers’ ability to select securities through fundamental analysis, while hedging out some portion of market risk. The Portfolio Funds will tend to run their investment portfolios with a relatively low net exposure and will focus on investing in specific market sectors. 

(7) Portfolio Funds in this strategy make investments in short positions in overvalued common stocks or corporate bonds in order to focus on generating positive returns through the Portfolio Managers’ ability to select securities through fundamental analysis, while hedging out some portion of market risk. The Portfolio Funds will tend to run their investment portfolios with a permanent net short or short-only exposure. 

(8) Portfolio Fund subject to investor-level percentage limitations on redemptions.

 

 

 

 

Aetos Long/Short Strategies Fund, LLC
Schedule of Investments (Unaudited)
October 31, 2021

 

(9) Portfolio Fund subject to lock-up provision up to one year. 

(10) Portfolio Fund subject to lock-up provision up to three years. 

(11) Portfolio Fund in liquidation. Mandatory distributions are expected to be received when underlying investments of the Portfolio Fund are realized.

 

The aggregate cost of investments for tax purposes was $525,798,575. Net unrealized appreciation on investments for tax purposes was $57,644,945 consisting of $140,590,485 of gross unrealized appreciation and $82,945,540 of gross unrealized depreciation.

 

The investments in Portfolio Funds shown above, representing 97.12% of Members’ Capital, have been fair valued using NAV as a practical expedient.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent semi-annual or annual financial statements.

 

 

 

 

The following table presents information about the level within the fair value hierarchy at which the Funds’ investments are measured as of October 31, 2021:

 

Aetos Multi-Strategy Arbitrage Fund, LLC                    
Strategy   Level 1    Level 2    Level 3    Total 
Investments in Portfolio Funds (1)  $   $   $   $506,672,367 
Money Market Investment   23,427,592            23,427,592 
Total Investments  $23,427,592   $   $   $530,099,959 
                     
Aetos Distressed Investment Strategies Fund, LLC                    
Strategy   Level 1    Level 2    Level 3    Total 
Investments in Portfolio Funds (1)  $   $   $   $257,735,548 
Money Market Investment   8,822,423            8,822,423 
Total Investments  $8,822,423   $   $   $266,557,971 
                     
Aetos Long/Short Strategies Fund, LLC                    
Strategy   Level 1    Level 2    Level 3    Total 
Investments in Portfolio Funds (1)  $   $   $   $563,508,143 
Money Market Investment   19,935,377            19,935,377 
Total Investments  $19,935,377   $   $   $583,443,520 

 

(1) In accordance with ASC 820-10-35-54B investments in Portfolio Funds that are measured at fair value using the net asset value per share (or its equivalent) as a practical expedient have not been classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Schedule of Investments.