NPORT-EX 2 master.htm AMENDED SCHEDULE OF INVESTMENTS AND NOTES

Hatteras Master Fund LP

Schedule of Investments
     
December 31, 2020 (Unaudited)
             
Investments in Adviser Funds — (102.12%)
 
Shares
Cost
Fair Value
   
Event Driven - (4.86%)
       
   
Harbinger Capital Partners Fund I, L.P. (Acquired 10/1/2007)(a)(b)(c)(d)
11,188,445
314,891
   
Harbinger Credit Distressed Blue Line Fund, L.P. (Acquired 4/1/2010)(a)(b)(c)(e)
12,326,927
3,200,613
   
King Street Capital, L.P. (Acquired 12/1/2017)(a)(b)(c)(e)
 
746,472
729,903
   
Perry Partners, L.P. (Acquired 10/1/2007)(a)(b)(c)
   
2,692
2,952
   
SGOF Liquidating Master LTD.(a)(b)(c)(d)
   
415,758
410,636
   
Sculptor Asia Domestic Partners, L.P. (Acquired 1/1/2006)(a)(b)(c)(d)
 
11,602
3,271
   
Third Point Partners Qualified, L.P. (Acquired 8/1/2017)(a)(b)(c)(e)
 
7,952,500
10,559,666
   
Total Event Driven
   
32,644,396
15,221,932
             
   
Long Short Equity — (0.99%)
       
   
Camcap Resources, L.P. (Acquired 6/1/2007)(a)(b)(c)
 
487,559
17,723
   
PIPE Equity Partners (Acquired 10/1/2004)(a)(b)(c)
   
3,845,244
49,200
   
PIPE Select Fund, LLC (Acquired 10/1/2004)(a)(b)(c)
   
3,218,604
2,280,501
   
The Raptor Private Holdings, L.P. (Acquired 11/1/2005)(a)(b)(c)
 
155,648
28,092
   
Valiant Capital Partners, L.P. (Acquired 9/1/2008)(a)(b)(c)(e)
 
354,270
716,379
   
Total Long Short Equity
   
8,061,325
3,091,895
             
   
Macro — (4.13%)
       
   
Aspect US Fund LLC - Diversified Class (Acquired 10/10/2017)(a)(b)(e)
 
5,939,110
6,189,933
   
Graham Absolute Return Trading Ltd. (Acquired 12/1/2017)(a)(b)(e)
 
6,507,862
6,669,725
   
Touradji Private Equity Onshore Fund, LTD. (Acquired 3/1/2009)(a)(b)(c)(d)
1,773,871
98,980
   
Total Macro
   
14,220,843
12,958,638
             
   
Relative Value — (4.65%)
       
   
BDCM Partners I, L.P. (Acquired 2/1/2012)(a)(b)(c)
   
6,490,138
6,656,042
   
D.E. Shaw Composite Fund, LLC (Acquired 4/1/2006) (a)(b)(c)
 
124,998
114,880
   
Drawbridge Special Opportunities Fund, L.P. (Acquired 4/1/2006)(a)(b)(c)
154,567
176,292
   
HBK Multi-Strategy Fund, L.P. (Acquired 7/1/2017)(a)(b)(c)(e)
 
6,612,983
7,606,711
   
Stark Investments, L.P. (Acquired 11/1/2010)(a)(b)(c)
 
50,084
17,171
   
Stark Select Asset Fund, LLC (Acquired 2/1/2010)(a)(b)(c)
 
19,907
19,592
   
Total Relative Value
   
13,452,677
14,590,688
             
   
Private Investments — (87.48%)
       
   
ABRY Advanced Securities Fund III, L.P. (Acquired 6/1/2014)(a)(b)(d)
 
3,223,742
2,546,846
   
ABRY Advanced Securities Fund, L.P. (Acquired 8/1/2008)(a)(b)(d)
 
256,690
101,643
   
ABRY Partners VI, L.P. (Acquired 3/3/2008)(a)(b)
   
1,447,267
143,480
   
ABRY Partners VII, L.P. (Acquired 11/8/2011)(a)(b)
   
1,856,633
1,256,364
   
ABRY Partners VIII, L.P. (Acquired 5/1/2015)(b)(d)
   
1,780,973
1,870,594
   
Accel-KKR Capital Partners III, L.P. (Acquired 9/30/2008)(a)(b)
 
                          -
30,279
   
Accel-KKR Capital Partners IV, L.P. (Acquired 7/1/2013)(b)
 
1,722,172
2,815,620
   
Angeles Equity Partners I, L.P. (Acquired 1/11/2016)(b)
 
884,276
1,010,167
   
Arclight Energy Partners Fund V, L.P. (Acquired 7/1/2006)(a)(b)
 
2,904,135
1,856,206
   
Ascendent Capital Partners I, L.P. (Acquired 7/1/2012)(b)(d)
 
1,202,321
1,611,581
   
BDCM Opportunity Fund II, L.P. (Acquired 3/1/2006)(b)
 
1,986,509
5,128,691
   
Benson Elliot Real Estate Partners II, L.P. (Acquired 6/1/2006)(a)(b)(g)
 
2,644,874
100,569
   
Cadent Energy Partners II, L.P. (Acquired 2/1/2008)(b)
 
4,788,366
6,704,829
   
Canaan Natural Gas Fund X, L.P. (Acquired 8/7/2008)(a)(b)
 
6,152,301
                          -
   
CDH Fund IV, L.P. (Acquired 7/13/2010)(b)(d)
   
1,035,991
2,111,788
   
China Special Opportunities Fund III, L.P. (Acquired 1/18/2011)(b)(d)
 
4,034,746
5,052,004
   
Claremont Creek Ventures II, L.P. (Acquired 11/22/2008)(a)(b)
 
2,946,392
1,371,570
   
Claremont Creek Ventures, L.P. (Acquired 12/1/2005)(a)(b)
 
1,476,005
9,329
   
Colony Investors VII, L.P. (Acquired 3/1/2006)(a)(b)
   
2,221,355
31,012
   
Colony Investors VIII, L.P. (Acquired 10/12/2006)(b)
   
6,143,940
133,402
   
Crosslink Crossover Fund V, L.P. (Acquired 3/1/2007)(a)(b)
 
234,054
342,583
   
Crosslink Crossover Fund VI, L.P. (Acquired 5/31/2011)(a)(b)
 
2,294,132
6,781,162
   
CX Partners Fund LTD. (Acquired 4/1/2009)(b)(d)
   
2,286,818
2,076,606
   
Dace Ventures I, L.P. (Acquired 6/1/2007)(a)(b)
   
2,286,219
854,266
   
Darwin Private Equity I, L.P. (Acquired 8/1/2007)(b)(g)
 
4,723,624
495,627
   
ECP IHS (Mauritius) Limited (Acquired 9/1/2014)(a)(b)(f)
 
7,419,169
11,357,682
   
EMG AE Permian Co-Investment, L.P. (Acquired 7/1/2014)(a)(b)
 
3,000,000
                          -
   
EMG Ascent 2016, L.P. (Acquired 12/28/2015)(a)(b)
   
4,203,815
5,191,576
   
EMG Ascent Secondary Fund, L.P. (Acquired 9/7/2017)(a)(b)
 
116,829
173,163
   
EMG Investment, LLC (Acquired 12/21/2010)(b)
   
                          -
                          -
   
EnerVest Energy Institutional Fund X-A, L.P. (Acquired 6/1/2005)(a)(b)
2,155,939
5,475
   
EnerVest Energy Institutional Fund XI-A, L.P. (Acquired 4/1/2007)(a)(b)
6,143,719
26,487
   
Fairhaven Capital Partners, L.P. (Acquired 3/1/2008)(a)(b)
 
4,571,226
1,616,325
   
Florida Real Estate Value Fund, L.P. (Acquired 11/12/2010)(b)
 
                          -
25,932
   
Forum European Realty Income III, L.P. (Acquired 2/1/2008)(b)(d)
 
1,945,475
213,811
   
Garrison Opportunity Fund, LLC (Acquired 1/12/2010)(a)(b)
 
                          -
161,692
   
Garrison Opportunity Fund II A, LLC (Acquired 3/8/2011)(a)(b)
 
                          -
1,020,424
   
Gavea Investment Fund II, L.P. (Acquired 5/1/2007)(a)(b)(d)
 
                          -
17,041
   
Gavea Investment Fund III, L.P. (Acquired 9/18/2008)(a)(b)(d)
 
                          -
108,649
   
Glade Brook Private Investors II L.P. (Acquired 1/27/2014)(a)(b)
 
3,905,752
52
   
Glade Brook Private Investors III LLC (Acquired 11/1/2014)(a)(b)
 
3,198,543
2,627,087
   
Glade Brook Private Opportunities Fund, LLC (Acquired 5/1/2015)(a)(b)
659,486
247,414
   
Glade Brook Private Investors X LLC (Acquired 11/08/2017)(a)(b)
 
                          -
                          -
   
Great Point Partners I, L.P. (Acquired 4/1/2006)(a)(b)
 
985,634
155,389
   
Greenfield Acquisition Partners V,L.P. (Acquired 4/1/2008)(b)
 
2,331,247
53,135
   
GTIS Brazil Real Estate Fund, L.P. (Acquired 7/25/2008)(b)
 
6,119,220
3,894,863
   
Halifax Capital Partners II, L.P. (Acquired 8/1/2012)(b)
 
1,690
47,500
   
Halifax Capital Partners III, L.P. (Acquired 8/1/2012)(b)
 
3,247,780
2,359,750
   
Hancock Park Capital III, L.P. (Acquired 3/1/2006)(a)(b)
 
808,899
175,363
   
Intervale Capital Fund, L.P. (Acquired 2/1/2008)(a)(b)
 
2,426,648
2,645,235
   
J.C. Flowers II, L.P. (Acquired 12/23/2015)(b)(d)
   
                          -
                          -
   
J.C. Flowers III, L.P. (Acquired 10/1/2009)(b)(d)
   
3,413,082
741,167
   
L C Fund V, L.P. (Acquired 7/1/2011)(b)(d)
   
2,935,495
3,120,577
   
Light Street Argon, L.P. (Acquired 5/1/2014)(a)(b)
   
757,340
1,122,229
   
Light Street SPVH, L.P. (Acquired 8/25/2015)(a)(b)
   
2,000,000
2,741,646
   
Lighthouse Capital Partners VI, L.P. (Acquired 2/1/2007)(a)(b)
 
219,968
74,589
   
Lyfe Capital Fund, L.P. (Acquired 11/6/2015)(b)(d)
   
2,222,441
6,687,595
   
Merit Energy Partners F-II, L.P. (Acquired 3/1/2006)(a)(b)
 
1,073,416
230,058
   
Mid Europa Fund III, L.P. (Acquired 10/1/2007)(b)(h)
   
3,394,507
93,381
   
Monomoy Capital Partners III, L.P. (Acquired 5/6/2011)(b)
 
1,636,655
2,362,567
   
Natural Gas Partners IX, L.P. (Acquired 12/1/2005)(b)
 
564,297
286,136
   
New Horizon Capital III, L.P. (Acquired 1/1/2009)(b)(d)
 
938,450
2,144,054
   
NGP Energy Technology Partners II, L.P. (Acquired 1/23/2009)(b)
 
3,383,433
1,190,684
   
NGP Midstream & Resources Follow-On Fund, L.P. (Acquired 10/7/2007)(b)
649,307
894,500
   
NGP Midstream & Resources, L.P. (Acquired 10/7/2007)(b)
 
2,507,471
286,785
   
Northstar Equity Partners III Limited (Acquired 6/1/2011)(b)(d)
 
3,315,837
2,422,378
   
OCM Mezzanine Fund II, L.P. (Acquired 3/1/2006)(b)
 
382,661
                          -
   
Octave Japan Infrastructure Fund I (Acquired 7/1/2014)(a)(b)(i)
 
1,304,398
1,260,603
   
ORBIS Real Estate Fund I, L.P. (Acquired 11/1/2006)(a)(b)(f)
 
2,288,670
465,404
   
Orchid Asia IV, L.P. (Acquired 8/1/2007)(b)(d)
   
2,523,435
23,038,432
   
Patron Capital III, L.P. (Acquired 3/1/2007)(b)(g)
   
3,718,296
270,082
   
Phoenix Asia Real Estate Investments L.P. (Acquired 9/24/2007)(a)(b)(d)
2,235,211
1,872,301
   
Pine Brook Capital Partners, L.P. (Acquired 2/1/2008)(b)
 
4,596,155
445,635
   
Private Equity Investment Fund IV, L.P. (Acquired 3/1/2006)(a)(b)
 
1,265,700
234,737
   
Private Equity Investment Fund V, L.P (Acquired 4/1/2009)(a)(b)
 
12,442,343
6,553,612
   
Rockwood Capital Real Estate Partners Fund VII, L.P. (Acquired 9/1/2006)(b)
2,913,547
58,797
   
Roundtable Healthcare Partners II, L.P. (Acquired 10/29/2010)(a)(b)
 
                          -
1,107
   
Roundtable Healthcare Partners III, L.P. (Acquired 10/29/2010)(a)(b)
 
4,618,141
7,317,806
   
Saints Capital VI, L.P. (Acquired 4/1/2008)(b)
   
5,359,243
1,162,971
   
Sanderling Venture Partners VI Co-Investment L.P. (Acquired 5/1/2005)(a)(b)
525,136
395,892
   
Sanderling Venture Partners VI, L.P. (Acquired 5/1/2005)(b)
 
735,999
867,296
   
SBC U.S. Fund II, L.P. (Acquired 8/30/2011)(a)(b)
   
2,377,306
1,136,408
   
Sentient Global Fund IV, L.P. (Acquired 6/1/2011)(a)(b)
 
5,536,592
2,230,230
   
Sentient Global Resources Fund III, L.P. (Acquired 7/21/2008)(b)(d)
 
11,966,779
3,331,552
   
Singerman Real Estate Opportunity Fund, L.P. (Acquired 5/28/2012)(b)
1,019,675
734,688
   
Sovereign Capital L.P. III (Acquired 3/22/2010)(b)(g)
   
                          -
1,176,966
   
Square Mile Partners III, L.P. (Acquired 7/17/2008)(a)(b)
 
1,791,262
32,974
   
Sterling Capital Partners Venture Fund II, L.P. (Acquired 8/1/2005)(a)(b)
1,359,210
127,604
   
Sterling Group Partners III, L.P. (Acquired 4/21/2010)(a)(b)
 
3,047,086
420,069
   
Strategic Value Global Opportunities Fund I-A, L.P. (Acquired 11/1/2006)(a)(b)
1,836,663
1,215,530
   
Sweetwater Secondaries Fund II LP (Acquired 6/12/2018) (a)(b)(j)
 
8,797,500
20,593,730
   
TDR Capital AS 2013 L.P. (Acquired 12/1/2013)(a)(b)(g)
 
6,184,080
24,175
   
Tenaya Capital V, L.P. (Acquired 7/1/2007)(b)
   
2,370,489
1,389,911
   
The Column Group, L.P. (Acquired 7/7/2007)(a)(b)
   
4,234,818
8,980,716
   
The Energy & Minerals Group Fund II L.P. (Acquired 6/1/2011)(b)
 
4,040,468
4,474,620
   
The Energy & Minerals Group Fund III L.P. (Acquired 10/8/2015)(b)
 
2,918,996
1,426,058
   
The Energy & Minerals Group Fund IV L.P. (Acquired 10/8/2015)(b)
 
1,885,756
1,898,154
   
The Founders Fund III,L.P. (Acquired 5/24/2010)(a)(b)
 
3,920,529
35,808,978
   
The Founders Fund IV, L.P. (Acquired 1/1/2012)(a)(b)
 
1,446,761
21,360,228
   
The Founders Fund VI, L.P. (Acquired 9/1/2017)(a)(b)
 
980,000
1,778,525
   
Tiger Global Private Investments Partners X, L.P. (Acquired 12/31/2016)(b)(d)
2,005,944
4,132,270
   
Tiger Global Private Investments Partners VI, L.P. (Acquired 11/8/2010)(b)(d)
2,216,261
3,938,709
   
Tiger Global Private Investments Partners VII, L.P. (Acquired 2/24/2012)(b)(d)
1,685,545
1,264,138
   
TPF II, L.P. (Acquired 10/1/2008)(a)(b)
   
1,814,310
200,200
   
Trivest Fund IV, L.P. (Acquired 11/1/2007)(a)(b)
   
862,306
88,082
   
Trivest Fund V, L.P. (Acquired 5/24/2013)(b)
   
2,321,747
2,473,796
   
Trivest Growth Investment Fund (Acquired 1/17/2017)(b)
 
1,482,475
1,628,759
   
Urban Oil and Gas Partners A-1, L.P. (Acquired 4/29/2010)(a)(b)
 
6,874,263
100,000
   
Urban Oil and Gas Partners B-1, L.P. (Acquired 12/1/2012)(b)
 
2,257,157
1,800,000
   
VCFA Private Equity Partners IV, L.P. (Acquired 3/1/2005)(b)
 
1,051,702
131,910
   
VCFA Venture Partners V, L.P. (Acquired 9/1/2006)(b)
 
2,798,624
1,431,240
   
Voyager Capital Fund III, L.P. (Acquired 5/1/2007)(a)(b)
 
1,652,835
812,604
   
WCP Real Estate Fund I, L.P. (Acquired 4/1/2007)(a)(b)
 
742,933
77,700
   
Westview Capital Partners II, L.P. (Acquired 8/21/2009)(a)(b)
 
1,875,422
1,713,308
   
Zero2IPO China Fund II, L.P. (Acquired 8/8/2008)(a)(b)(d)
 
3,077,026
1,298,674
   
Total Investments in Private Investments
   
286,139,127
274,302,476
   
Total Investments in Adviser Funds
   
354,518,368
320,165,629
             
   
Investments in Private Companies - (0.00%)
       
   
Illumitex, Inc., Common Stock (Acquired 6/1/2011)(a)(b)(j)
                 12,278
1,499,369
                          -
   
Total Investments in Private Companies
   
1,499,369
                          -
   
Investments in Private Company Call Options - (0.00%)
     
   
Illumitex, Inc., Exercise Price $0.03, 10/24/2022 (Acquired 6/1/2011)(a)(b)(j)
                   1,106
                            -
                          -
   
Total Investments in Private Company Call Options
   
                            -
                          -
             
             
   
Total Investments (cost $352,097,204) (102.12%)
     
320,165,629
   
Other Assets in Excess of Liabilities (-2.12%)
     
(6,643,989)
   
Partners’ Capital — (100.00%)
     
313,521,640
             
   
(a) Non-income producing.
       
   
(b) Adviser Funds and securities that are issued in private placement transactions may have limited resale or redemptions terms.
   
(c) The Adviser Fund has imposed gates on or has limited redemptions. The total cost and fair value of these investments as of
   
December 31, 2020 was $55,932,269 and $33,003,495, respectively.
     
   
(d) Domiciled in Cayman Islands.
       
   
(e) All or a portion of this position is held in custody by U.S Bank N.A., as collateral for a credit facility.
   
The total cost and fair value of these investments as of June 30, 2020 was $63,781,375 and $51,588,981, respectively.
   
(f) Domiciled in Mauritius.
       
   
(g) Domiciled in United Kingdom.
       
   
(h) Domiciled in Guernsey.
       
   
(i) Domiciled in Japan.
       
   
(j) Security value is determined using significant unobservable inputs.
   



Valuation of Investments

The Hatteras Master Fund, L.P. (the “Fund”) classifies its assets and liabilities that are reported at fair value, not valued using net asset value (“NAV”) as the practical expedient into three levels based on the lowest level of input that is significant to the fair value measurement. Estimated values may differ from the values that would have been used if a ready market existed or if the investments were liquidated at the valuation date.
 
The three-tier hierarchy distinguishes between (1) inputs that reflect the assumptions market participants would use in pricing an asset or liability developed based on market data obtained from sources independent of the reporting entity (observable inputs) and (2) inputs that reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing an asset or liability developed based on the best information available in the circumstances (unobservable inputs) and to establish classification of fair value measurements for disclosure purposes. Various inputs may be used in determining the value of the Master Fund’s investments. The inputs are summarized in the three broad levels listed below:
 
Level 1 — quoted prices (unadjusted) in active markets for identical assets and liabilities.
 
Level 2 — Inputs to the valuation methodology include quoted prices for similar assets and liabilities in active markets and inputs that are observable for the asset or liability, either directly or indirectly.
 
Level 3 — Inputs to the valuation methodology are unobservable and significant to the fair value measurement. This includes situations where there is little, if any, market activity for the asset or liability.

Investments at Value
 
Level 1
   
Level 2
   
Level 3
   
Investments
Valued at NAV
   
Total
 
Investments in Adviser Funds
                             
Event Driven
 
$
-
   
$
-
   
$
-
   
$
15,221,932
   
$
15,221,932
 
Long Short Equity
   
-
     
-
     
-
     
3,091,895
     
3,091,895
 
Macro
   
-
     
-
     
-
     
12,958,638
     
12,958,638
 
Relative Value
   
-
     
-
     
-
     
14,590,688
     
14,590,688
 
Private Investments
   
-
     
-
     
20,593,730
     
253,708,746
     
274,302,476
 
Investments in Private Companies
   
-
     
-
     
-
     
-
     
-
 
Other Financial Instruments
                                       
Private Companies Call Options
   
-
     
-
     
-
     
-
     
-
 
     Total
 
$
-
   
$
-
   
$
20,593,730
   
$
299,571,899
   
$
320,165,629
 

The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining fair value on recurring basis:

Level 3 Investments
 
Balances as of
March 31, 2020
   
Net Realized
Gain (Loss)
   
Change in
Unrealized
Appreciation/
(Depreciation)
   
Distributions
   
Gross Purchases
   
Gross Sales
   
Balance as of
December 31, 2020
 
Private Investments
 
$
21,536,120
   
$
-
   
$
(942,390
)
 
$
-
   
$
-
   
$
-
   
$
20,593,730
 
Private Companies
   
-
     
-
     
-
     
-
     
-
     
-
     
-
 
Total Level 3 Investments
 
$
21,536,120
   
$
-
   
$
(942,390
)
 
$
-
   
$
-
   
$
-
   
$
20,593,730
 

For the period ended December 31, 2020, there were no transfers into or out of Level 1, Level 2 or Level 3.
 
Should a transfer between Levels occur, it is the Fund’s policy to recognize transfers in and out of all Levels at the beginning of reporting period.
 
The change in unrealized appreciation/(depreciation) during the period from Level 3 investments held at December 31, 2020 is $(942,390).
 
The following is a summary of quantitative information about significant unobservable valuation inputs for Level 3 Fair Value Measurements for investments held as of December 31, 2020:

Type of Level 3 Investment
 
Fair Value as of
June 30, 2020
 
Valuation Techniques
 
Unobservable Input
 
Preferred Stock
               
   Private Investments
 
$
20,593,730
 
 Dilution estimate
 
 Partner commitment percentage
 
   Private Companies
   
-
 
 Current value method
 
 Recent round of financing
 
Total Level 3 Investments
 
$
20,593,730