0001752724-22-200836.txt : 20220829 0001752724-22-200836.hdr.sgml : 20220829 20220829170652 ACCESSION NUMBER: 0001752724-22-200836 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220630 FILED AS OF DATE: 20220829 DATE AS OF CHANGE: 20220829 PERIOD START: 20230331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Pomona Investment Fund CENTRAL INDEX KEY: 0001616203 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22990 FILM NUMBER: 221211951 BUSINESS ADDRESS: STREET 1: 780 THIRD AVENUE, 46TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: (212) 593-3639 MAIL ADDRESS: STREET 1: 780 THIRD AVENUE, 46TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10017 FORMER COMPANY: FORMER CONFORMED NAME: Pomona Private Equity Fund DATE OF NAME CHANGE: 20140807 NPORT-P 1 primary_doc.xml NPORT-P false 0001616203 XXXXXXXX Pomona Investment Fund 811-22990 0001616203 549300DLBN7DGKO6OL12 780 THIRD AVENUE 46TH FLOOR NEW YORK 10017 2125933639 Pomona Investment Fund 549300DLBN7DGKO6OL12 2023-03-31 2022-06-30 N 653196742.45 67962772.79 585233969.66 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 45161280.01000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 8543775.68000000 N N/A N/A AAA Partners, Inc. 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N/A N/A OU Other Units 51918.21000000 0.008871359608 Long PF US Y N/A N N N N/A N/A Insight Venture Partners Growth-Buyout Coinvestment Fund, L.P. N/A N/A OU Other Units USD 64150.65000000 0.010961539029 Long PF KY Y N/A N N N N/A N/A Genstar Capital Partners VI, L.P. N/A N/A OU Other Units USD 1294996.00000000 0.221278337747 Long PF US Y N/A N N N N/A N/A WestView Capital Partners II, L.P. N/A N/A OU Other Units USD 0.00000000 0.000000 Long PF US Y N/A N N N N/A N/A Apollo Investment Fund VI, L.P. N/A N/A OU Other Units USD 68116.00000000 0.011639105645 Long PF US Y N/A N N N N/A N/A Gryphon Partners IV, L.P. N/A N/A OU Other Units USD 7908174.77000000 1.351284303369 Long PF US Y N/A N N N N/A N/A Audax Private Equity Fund, L.P. N/A N/A OU Other Units USD 12957.00000000 0.002213986315 Long PF US Y N/A N N N N/A N/A Marlin Equity III, L.P. N/A N/A OU Other Units USD 45455.00000000 0.007766979081 Long PF US Y N/A N N N 2022-07-30 Pomona Investment Fund Frances Janis Frances Janis Treasurer XXXX NPORT-EX 2 fp0079062_nportex.htm

 

POMONA INVESTMENT FUND

CONSOLIDATED SCHEDULE OF INVESTMENTS

June 30, 2022 (UNAUDITED)        

 

   Geographic  Acquisition   
Private Equity Investments (99.67%)(a)(b)  Region(c)  Date  Fair Value
Direct Investments/Co-Investments (4.70%)           
BSV Opportunities B,F.C.R.E(d)  Europe  12/16/2021  $6,766,826 
Dyal V Nimbus Cayman (B), L.P.  North America  09/10/2021   6,025,298 
Dyal V Nimbus U.S. (A), LLC  North America  09/10/2021   5,132,745 
Investcorp Aspen Offshore Fund, L.P.  Rest of World  07/01/2019   8,058,498 
Roark Capital Partners II Sidecar, L.P.  North America  10/18/2018   1,515,204 
Total Direct Investments/Co-Investments         27,498,571 
            
Primary Investments (4.90%)           
Aberdeen U.S. Private Equity VIII (Offshore), L.P.  Europe  04/11/2019   3,165,793 
Accel-KKR Growth Capital Partners IV, L.P.(d)  North America  12/17/2021   100,516 
Berkshire Fund X-A, L.P.(d)  North America  09/22/2020   1,862,254 
CB Offshore Equity X, L.P.(d)  North America  11/20/2020   926,000 
Clearlake Capital Partners VII (USTE), L.P.  North America  09/17/2021   1,489,454 
Dyal V Offshore Investors, L.P.  North America  09/20/2021   2,892,018 
Genstar Capital Partners X, L.P.(d)  North America  04/01/2021   1,054,077 
Green Equity Investors Side IX, L.P.(d)  North America  03/01/2022    
Hellman & Friedman Capital Partners IX (Parallel), L.P.  North America  09/28/2018   2,352,686 
Hellman & Friedman Capital Partners X (Parallel), L.P.(d)  North America  05/10/2021   2,524,090 
Roark Capital Partners V (TE), L.P.  North America  04/30/2018   5,478,980 
Roark Capital Partners VI (TE), L.P.(d)  North America  01/28/2022   1,147,389 
TA XIV-B, L.P.(d)  North America  05/27/2021   1,212,201 
The Veritas Capital Fund VII, L.P.(d)  North America  10/10/2019   3,771,083 
The Veritas Capital Fund VIII, L.P.(d)  North America  03/16/2022    
Thoma Bravo Explore Fund II-A, L.P.(d)  North America  02/03/2022    
Thoma Bravo Fund XV-A, L.P.(d)  North America  06/10/2022   715,985 
Vista Equity Partners Fund VIII-A, L.P.(d)  North America  04/27/2022   (3,347)
Total Primary Investments         28,689,179 
            
Seasoned Primary Investments (6.95%)           
Aerospace, Transportation and Logistics Fund II, L.P.(d)  North America  03/31/2019   1,367,472 
Avista Capital Partners (Offshore) IV, L.P.  North America  12/01/2017   354,048 
Gryphon Partners IV, L.P.(d)  North America  06/08/2016   6,047,428 
Gryphon Partners VI-A, L.P.  North America  12/17/2021   5,047,482 
Insight Partners (Cayman) XII Buyout Annex Fund, L.P.  North America  10/26/2021   2,557,516 
Ironsides Offshore Direct Investment Fund V, L.P.(d)  North America  12/31/2019   4,349,517 
L Catterton IX, L.P.(d)  North America  03/09/2021   5,088,259 
Merit Mezzanine Fund VI, L.P.  North America  03/02/2018   2,117,375 
OceanSound Partners Fund, L.P.(d)  North America  01/31/2022   5,275,074 
Sorenson Capital Partners IV-B, L.P.(d)  North America  01/11/2022   4,308,865 
VSS Structured Capital Parallel III, L.P.  North America  01/26/2018   4,171,837 
Total Seasoned Primary Investments         40,684,873 
            
Secondary Investments (83.12%)           
ABRY Partners V, L.P.(d)  North America  12/31/2018   4,335 
Accel-KKR Capital Partners CV III, L.P.(d)  North America  06/30/2021   3,370,031 
Accel-KKR Capital Partners III, L.P.(d)  North America  06/30/2021   17,489 
Advent International GPE VI-A Limited Partnership(d)  North America  03/31/2021   156,119 
Advent International GPE VII-B Limited Partnership(d)  North America  06/30/2015   760,920 
Advent International GPE VIII-B-2, L.P.(d)  North America  03/31/2022   3,062,232 

 

 

   Geographic  Acquisition   
Private Equity Investments (99.67%)(a)(b) (continued)  Region(c)  Date  Fair Value
Secondary Investments (83.12%) (continued)           
Advent International GPE VIII-C Limited Partnership(d)  North America  12/31/2019  $2,237,645 
American Securities Partners V, L.P.(d)  North America  03/31/2022   6,550 
American Securities Partners VI, L.P.(d)  North America  03/31/2022   1,515,420 
AP VIII Private Investors Offshore (USD), L.P.  North America  06/30/2017   80,021 
AP VIII Private Investors, LLC  Europe  06/28/2019   1,609,652 
Apax Europe VI - A, L.P.(d)  Europe  12/30/2016   249,415 
Apax Europe VII, L.P.(d)  Europe  03/31/2021   48,820 
Apollo Investment Fund VI, L.P.(d)  North America  12/31/2018   68,116 
Apollo Investment Fund VII, L.P.  North America  09/29/2017   23,652 
Ares Corporate Opportunities Fund III, L.P.(d)  North America  12/31/2019   93,029 
Artiman Ventures III, L.P.(d)  North America  03/31/2021   692,360 
Astorg VI SLP(d)  Europe  03/31/2022   2,553,023 
Astorg VII SLP(d)  Europe  03/31/2022   7,758,108 
Atlas Capital Resources, L.P.  North America  06/30/2021   3,074,610 
Audax Mezzanine Fund III, L.P.  North America  09/30/2016   580,484 
Audax Private Equity Fund Aspen CF, L.P.(d)  North America  03/24/2022   3,214,828 
Audax Private Equity Fund II, L.P.(d)  North America  12/31/2018   26,022 
Audax Private Equity Fund III, L.P.(d)  North America  09/30/2015   221,901 
Audax Private Equity Fund, L.P.(d)  North America  12/31/2018   12,957 
Audax Senior Loan Fund III, L.P.  North America  09/28/2018   331,526 
Avista Capital Partners (Offshore) II, L.P.(d)  North America  12/31/2019   408,060 
Avista Capital Partners III, L.P.(d)  North America  12/31/2019   52,977 
Avista Healthcare Partners, L.P.(d)  North America  12/31/2019   198,667 
Bain Capital Asia Fund II, L.P.(d)  North America  12/31/2019   2,137,399 
Bain Capital Distressed and Special Situations 2013 E, L.P.(d)  North America  06/30/2015   111,283 
Bain Capital Europe Fund III, L.P.(d)  North America  12/30/2016   207,901 
Bain Capital Fund VII, L.P.(d)  North America  12/29/2017   6,150,585 
Bain Capital Fund X, L.P.(d)  North America  12/30/2015   1,976,008 
Bain Capital VII Coinvestment Fund, L.P.(d)  North America  12/29/2017   82,405 
BC Asia III Private Investors, L.P.(d)  North America  06/30/2020   2,265,718 
BC Europe IV Private Investors, L.P.(d)  North America  06/30/2020   1,487,083 
BC European Capital IX-8, L.P.(d)  Europe  12/31/2020   1,092,387 
BC Life Sciences Private Investors, L.P.(d)  North America  06/30/2020   2,013,657 
BC XI Private Investor, L.P.  North America  06/30/2020   2,210,688 
BC XII Private Investors, L.P.  North America  06/30/2020   4,219,635 
BCP V-S, L.P.(d)  North America  09/29/2017   (23)
Berkshire Fund IX, L.P.  North America  09/03/2021   10,916,394 
Berkshire Fund VI, Limited Partnership(d)  North America  12/31/2018   4,563,502 
Berkshire Fund VII, L.P.(d)  North America  12/31/2018   219,637 
Berkshire Fund VIII (IND), L.P.  North America  09/03/2021   7,735,533 
Blackstone Capital Partners V, L.P.(d)  North America  09/29/2017   34,646 
Bridgepoint Europe IV, L.P.  Europe  03/31/2021   210,441 
Carlyle Partners V, L.P.(d)  North America  12/31/2019   145,925 
Carlyle US Equity Opportunity Fund II, L.P.(d)  North America  06/30/2022   1,666,694 
Catterton Growth Partners, L.P.(d)  North America  06/30/2021   1,002,994 
CD&R Value Building Partners I, L.P.(d)  North America  12/02/2021   8,944,485 
CDRF8 Private Investors, LLC(d)  North America  06/30/2017   232,176 
Centerbridge Seaport Acquisition Fund, L.P.(d)  North America  05/03/2022   8,800,000 
Cerberus Institutional Partners L.P. - Series Four(d)  North America  12/30/2016   151,207 
Charlesbank Equity Fund IX, Limited Partnership  North America  03/31/2022   3,733,000 
Charlesbank Equity Fund VIII, Limited Partnership  North America  03/31/2022   1,459,000 
Charterhouse Capital Partners IX, L.P.(d)  Europe  12/31/2021   80,908 
CHP III, L.P.(d)  North America  09/29/2017   310,000 
CI Capital Investors II, L.P.(d)  North America  12/31/2019   158,311 
CI Capital Investors III, L.P.(d)  North America  12/31/2019   1,227,744 
Clayton, Dubilier & Rice Fund IX, L.P.(d)  North America  06/30/2022   6,331,198 

 

 

   Geographic  Acquisition   
Private Equity Investments (99.67%)(a)(b) (continued)  Region(c)  Date  Fair Value
Secondary Investments (83.12%) (continued)           
Clayton, Dubilier & Rice Fund XI, L.P.(d)  North America  06/30/2022  $1,041,819 
Clearlake Capital Partners IV, L.P.  North America  12/31/2019   1,958,045 
Clearlake Opportunities Partners (P-Offshore) L.P(d)  North America  12/31/2019   943,040 
Coller International Partners VI, L.P.(d)  Europe  12/31/2021   519,497 
Comvest Capital II International (Cayman), L.P.  North America  06/29/2018   376,319 
Comvest Capital III International (Cayman), L.P.  North America  06/29/2018   850,580 
Court Square Capital Partners (Offshore) III, L.P.  North America  12/31/2020   1,076,995 
DCM IV, L.P.(d)  North America  06/30/2015   93,797 
DCM V, L.P.(d)  North America  06/30/2015   293,082 
DCM VI, L.P.(d)  North America  06/30/2015   714,040 
Dyal US Investors, L.P.(d)  North America  03/31/2022   1,733,456 
Endeavour Capital Fund V, L.P.(d)  North America  03/31/2021    
Energy Capital Partners II-C, L.P.(d)  North America  03/31/2021   4,378 
EQT VI (No.1) Limited Partnership(d)  Europe  12/31/2021   6,971 
EQT VII (No.1) Limited Partnership(d)  Europe  12/31/2020   657,518 
EQT VIII (No.1) SCSp(d)  Europe  12/31/2020   1,623,234 
Equistone Partners Europe Fund IV, L.P.(d)  Europe  12/31/2021   1,369,474 
Fifth Cinven Fund (No.3) Limited Partnership(d)  Europe  12/31/2021   2,629,903 
Five Arrows Florence Continuation Fund SCSp(d)  North America  05/05/2022   8,093,750 
Francisco Partners II, L.P.(d)  North America  12/31/2018   219,171 
FSN Capital IV, L.P.(d)  Europe  12/31/2019   112,489 
General Atlantic Investment Partners 2013, L.P.  North America  12/31/2019   2,631,032 
Genstar Capital Partners V, L.P.(d)  North America  03/31/2022   280,292 
Genstar Capital Partners VI, L.P.(d)  North America  03/31/2022   1,294,996 
Genstar Capital Partners VII (EU), L.P.(d)  North America  12/31/2020   825,361 
Genstar Capital Partners VII, L.P.(d)  North America  03/31/2022   7,183,013 
Genstar Capital Partners VIII BL (EU), L.P.(d)  North America  12/31/2020   2,678,583 
Genstar VIII Opportunities Fund I (EU), L.P.(d)  North America  12/31/2020   1,825,912 
GESD Investors II, L.P.(d)  North America  09/29/2017   61,869 
Green Equity Investors CF II, L.P.(d)  North America  11/30/2021   1,251,777 
Green Equity Investors CF, L.P.(d)  North America  04/26/2021   2,925,983 
Green Equity Investors Side VI, L.P.(d)  North America  06/30/2021   5,618,001 
Green Equity Investors V, L.P.(d)  North America  09/29/2017   246,229 
Gridiron Capital Fund II, L.P.  North America  12/31/2019   837,774 
Gridiron Energy Feeder I, L.P.(d)  North America  05/10/2017   2,464,440 
Gryphon Co-Invest Fund IV, L.P.  North America  12/31/2020   300,169 
Gryphon Partners 3.5, L.P.  North America  12/31/2020   151,832 
Gryphon Partners IV, L.P.  North America  12/31/2020   1,860,747 
Gryphon Partners V-A, L.P.(d)  North America  12/31/2020   2,669,497 
GS Capital Partners VI Parallel, L.P.(d)  North America  12/31/2019   52,852 
GSO Capital Opportunities Overseas Fund, L.P.(d)  North America  12/30/2015   64,188 
GSO Private Investors Offshore II, L.P.  North America  06/30/2017   44,925 
GTCR Fund X/C, L.P.(d)  North America  12/31/2021   13,226 
H&F Arrow 2, L.P.(d)  North America  04/13/2021   2,086,461 
H&F Executives IX, L.P.(d)  North America  09/30/2020   2,935,424 
H&F Executives VIII, L.P.(d)  North America  09/30/2020   3,498,738 
H.I.G. Bayside Debt & LBO Fund II, L.P.(d)  North America  12/31/2018   538,389 
H.I.G. Bayside Loan Opportunity Cayman Fund II, L.P.  North America  03/31/2021   138,582 
H.I.G. Capital Partners IV, L.P.  North America  12/31/2018   443,991 
Halifax Capital Partners IV, L.P.  North America  03/31/2022   4,750,000 
Hamilton Lane-Carpenters Partnership Fund IV, L.P.(d)  North America  03/31/2022   16,492,473 
Hamilton Lane-Carpenters Partnership Fund V, L.P.(d)  North America  03/31/2022   5,856,685 
Hellman & Friedman Capital Partners VI, L.P.(d)  North America  03/31/2019   176,204 
Hellman & Friedman Capital Partners VII (Parallel), L.P.(d)  North America  06/28/2019   1,199,328 
Hellman & Friedman Capital Partners VII, L.P.(d)  North America  06/30/2021   838,346 
HFCP VII (Parallel-A), L.P.  North America  09/30/2021   419,792 

 

 

   Geographic  Acquisition   
Private Equity Investments (99.67%)(a)(b) (continued)  Region(c)  Date  Fair Value
Secondary Investments (83.12%) (continued)           
HgCapital 5, L.P.(d)  Europe  12/31/2018  $543 
HPE Continuation Fund I C.V.(d)  Europe  05/27/2021   4,013,608 
Icon Partners II, L.P.  North America  04/27/2021   333,829 
Icon Partners III, L.P.(d)  North America  05/10/2021   3,918,581 
Insight Equity I, L.P.(d)  North America  12/31/2018   8,524 
Insight Equity II, L.P.(d)  North America  12/31/2018   379,993 
Insight Partners Continuation Fund, L.P.(d)  North America  08/14/2019   9,122,782 
Insight Venture Partners (Cayman) IX, L.P.(d)  North America  09/30/2019   2,790,210 
Insight Venture Partners (Cayman) VIII, L.P.  North America  09/30/2019   1,644,830 
Insight Venture Partners Coinvestment Fund (Delaware) III, L.P.  North America  09/30/2019   335,560 
Insight Venture Partners Coinvestment Fund II, L.P.(d)  North America  06/30/2015   1,115,926 
Insight Venture Partners Coinvestment Fund III, L.P.(d)  North America  06/30/2015   164,456 
Insight Venture Partners Growth-Buyout Coinvestment Fund (Cayman), L.P.(d)  North America  09/30/2019   1,012,010 
Insight Venture Partners Growth-Buyout Coinvestment Fund, L.P.  North America  09/30/2019   64,151 
Insight Venture Partners IX, L.P.  North America  09/30/2019   72,263 
Insight Venture Partners VII, L.P.(d)  North America  06/30/2015   2,196,464 
Insight Venture Partners VIII (Co-Investors), L.P.  North America  12/31/2019   196,715 
Insight Venture Partners VIII, L.P.  North America  06/30/2015   2,511,756 
JMI Equity Fund VI, L.P.  North America  09/29/2017   11,584 
Kelso Investment Associates IX, L.P.(d)  North America  03/31/2022   2,376,774 
Kelso Investment Associates VIII, L.P.(d)  North America  09/29/2017   610,226 
KKR 2006 Fund, L.P.  North America  09/29/2017   53,651 
KKR 2006 Private Investors Offshore, L.P.(d)  North America  06/30/2017   227,835 
KKR Americas Fund XII, L.P.  North America  03/31/2021   3,575,517 
KKR China Growth Fund, L.P.(d)  North America  12/31/2021   581,471 
KKR North America Fund XI, L.P.  North America  12/31/2021   1,568,089 
KPS Special Situations Fund III (Supplemental Feeder), Ltd.(d)  North America  09/29/2017   16,817 
KPS Special Situations Fund III, L.P.(d)  North America  09/29/2017   9,641 
Lightspeed Venture Partners IX, L.P.(d)  North America  12/31/2020   3,611,662 
Lion/Simba Investors, L.P.  Europe  12/21/2020   3,759,746 
Littlejohn Fund III, L.P.(d)  North America  12/31/2018   22,324 
Littlejohn Fund IV, L.P.(d)  North America  12/30/2015   752,421 
Lovell Minnick Equity Partners III, L.P.(d)  North America  06/30/2021   1,008,809 
Madison Dearborn Capital Partners VI-C, L.P.  North America  03/31/2021   185,191 
Madison Dearborn Capital Partners VII, L.P.(d)  North America  03/31/2022   8,523,726 
Madison International Real Estate Liquidity Fund V(d)  North America  06/30/2015   2,895 
Marlin Equity III, L.P.(d)  North America  06/30/2021   45,455 
Mason Wells Buyout Fund III Limited Partnership(d)  North America  03/31/2021   25,211 
MDP Fund, L.P.(d)  Europe  06/30/2015   71,764 
Merchant Banking Partners IV, L.P.(d)  North America  09/29/2017   14,020 
Montagu+ SCSp(d)  Europe  11/10/2021   7,691,297 
Montreux Equity Partners IV, L.P.(d)  North America  09/29/2017   412,372 
MPE Partners II, L.P.  North America  06/28/2019   1,303,979 
MSouth Equity Partners II, L.P.  North America  12/31/2019   543,741 
Nautic Partners VI-A, L.P.(d)  North America  12/31/2019   753,660 
Navis Asia Fund VI, L.P.  Rest of World  03/31/2021   156,286 
NB SPV, L.P.(d)  North America  09/01/2021   5,000,000 
New Enterprise Associates 12, Limited Partnership(d)  North America  09/29/2017   50,441 
New Mountain Partners III, L.P.(d)  North America  09/29/2017   98,845 
NewView Capital Fund I, L.P.(d)  North America  10/31/2018   6,931,996 
North Bridge Growth Equity I, L.P.(d)  North America  12/31/2020   58,786 
North Bridge Growth Equity II, L.P.(d)  North America  12/31/2020   10,744,385 
Oak Investment Partners XII, Limited Partnership(d)  North America  03/31/2019   93,813 
Oaktree Opportunities Fund IX (Cayman), L.P.(d)  North America  12/31/2021   1,970,495 
Oaktree Opportunities Fund VIII (Cayman), L.P.  North America  12/31/2021   19,190 

 

 

   Geographic  Acquisition     
Private Equity Investments (99.67%)(a)(b) (continued)  Region(c)  Date   Fair Value 
Secondary Investments (83.12%) (continued)           
Oaktree Private Investment Fund 2010, L.P.  North America  06/30/2015  $62,005 
Paladin III (HR), L.P.(d)  North America  09/29/2017   193,312 
Pamlico Capital III, L.P.  North America  12/31/2019   2,981,646 
Parthenon Investors II, L.P.(d)  North America  12/31/2018   197,827 
Parthenon Investors III, L.P.  North America  12/31/2018   586,151 
Pegasus WSJLL Fund, L.P.(d)  North America  12/13/2021   9,280,000 
Permira IV Feeder, L.P.(d)  Europe  04/23/2020   9,755,424 
Platinum Equity Capital Partners II(d)  North America  09/29/2017   168,603 
PRO SPV, L.P.(d)  North America  09/01/2021   8,652,592 
Providence Equity Partners IV, L.P.(d)  North America  12/30/2016   15,270 
Providence Equity Partners V, L.P.(d)  North America  12/30/2016   32,949 
Providence Equity Partners VI, L.P.(d)  North America  12/30/2016   1,269,221 
Providence Equity Partners VII, L.P.  North America  09/29/2017   331,480 
PT2-A, L.P.(d)  North America  12/16/2021   6,432,666 
PTEV-A, L.P.(d)  North America  12/30/2021   3,448,392 
RCF V Annex Fund, L.P.(d)  Rest of World  06/30/2021   23,600 
Resource Capital Fund V, L.P.(d)  Rest of World  06/30/2021   84,039 
Riverside Capital Appreciation Fund V, L.P.  North America  03/31/2021   285,241 
Roark Capital Partners CF, L.P. (d)  North America  05/11/2022    
Roark Capital Partners II, L.P.  North America  06/29/2018   1,485,004 
Roark Capital Partners III, L.P.  North America  06/29/2018   1,675,091 
Roark Capital Partners IV, L.P.  North America  06/29/2018   1,094,286 
Samson Brunello 2, L.P.(d)  North America  02/19/2021   1,330,036 
Samson Hockey 2, L.P.  North America  12/23/2020   1,848,956 
Samson Shield 2, L.P.(d)  North America  12/23/2020   3,791,156 
Saw Mill Capital Partners, L.P.(d)  North America  09/29/2017   65,354 
Seidler Equity Partners IV, L.P.  North America  06/30/2021   1,745,327 
Silver Lake Partners III, L.P.(d)  North America  12/31/2018   108,513 
Silver Lake Partners V, L.P.  North America  06/30/2020   2,565,636 
Sixth Cinven Fund (No. 4) Limited Partnership  Europe  06/28/2019   2,741,556 
Sixth Street Opportunities Partners III (B), L.P.  North America  06/30/2015   29,420 
SL SPV-2, L.P.  North America  02/14/2019   934,547 
Sorenson Capital Partners III, L.P.(d)  North America  12/31/2021   12,373,852 
Sterling Capital Partners IV, L.P.(d)  North America  12/31/2021   832,264 
Summit Partners Growth Equity Fund VIII-B, L.P.  North America  12/31/2021   1,600,242 
Summit Partners Private Equity Fund VII-A, L.P.(d)  North America  12/31/2018   434,036 
Summit Ventures VI-A, L.P.(d)  North America  12/31/2018   233,621 
Sun Capital Partners IV, L.P.  North America  12/31/2018   96,332 
Sun Capital Partners V, L.P.  North America  12/31/2018   284,141 
SunTx Capital Partners II, L.P.(d)  North America  12/31/2019   1,359,989 
TA Atlantic and Pacific VI, L.P.  North America  03/31/2021   101,951 
TCW/Crescent Mezzanine Partners VB, L.P.(d)  North America  12/30/2015   29,554 
Tennenbaum Opportunities Fund V, LLC(d)  North America  09/29/2017   66,164 
The Veritas Capital Fund III, L.P.(d)  North America  09/29/2017   2,263 
The Veritas Capital Fund V, L.P.(d)  North America  06/28/2019   23,306,013 
The Veritas Capital Fund VI, L.P.(d)  North America  03/31/2022   13,853,332 
Thomas H. Lee Parallel (Cayman) Fund VII, L.P.(d)  North America  06/29/2018   2,211,281 
TowerBrook Investors III, L.P.(d)  North America  12/31/2019   38,193 
TPF II-A, L.P.(d)  North America  12/31/2019   9,104 
TPG Growth III (A), L.P.  North America  12/31/2019   1,990,030 
TPG Partners V, L.P.(d)  North America  09/29/2017   8,317 
TPG Partners VI, L.P.(d)  North America  09/29/2017   787,416 
TPG STAR, L.P.(d)  North America  09/29/2017   212,689 
Triton Fund III, L.P.  Europe  03/31/2021   51,918 
Vista Equity Partners Fund V, L.P.(d)  North America  09/28/2018   15,596,590 
Warburg Pincus Global Growth, L.P.(d)  North America  06/30/2022   5,743,882 

 

 

   Geographic  Acquisition   
Private Equity Investments (99.67%)(a)(b) (continued)  Region(c)  Date  Fair Value
Secondary Investments (83.12%) (continued)           
Warburg Pincus Private Equity XI, L.P.(d)  North America  12/31/2021   1,074,405 
Warburg Pincus Private Equity XI-B, L.P.(d)  North America  03/31/2022  $4,308,136 
Warburg Pincus Private Equity XII, L.P.(d)  North America  06/30/2022   6,772,397 
Warburg Pincus Private Equity XII-B, L.P.(d)  North America  03/31/2022   6,777,558 
Webster Equity Partners Bristol CF, L.P.(d)  North America  10/15/2021   7,090,013 
Wellspring Capital Partners IV, L.P.(d)  North America  06/01/2022   60 
White Deer Energy, L.P.(d)  North America  06/30/2021   61,063 
Wind Point Partners AAV, L.P.(d)  North America  06/29/2021   954,367 
Wind Point Partners VII-B, L.P.(d)  North America  09/29/2017   673,155 
WP AUSA, L.P.(d)  North America  07/22/2019   8,236,706 
Total Secondary Investments         486,434,809 
            
Total Private Equity Investments           
(Cost $520,444,029)        $583,307,432 

 

Short-Term Investments (10.42%)         Fair Value 
Money Market Funds (10.42%)           
Fidelity Government Portfolio, Class I, 1.20%(e)         60,347,049 
JPMorgan US Government Money Market Fund, 0.01%(e)         638,019 
            
Total Money Market Funds         60,985,068 
            
Total Short-Term Investments           
(Cost $60,985,068)        $60,985,068 
            
Total Investments (110.09%)           
(Cost $581,429,097)        $644,292,500 
            
Liabilities in Excess of Other Assets (-10.09%)         (59,058,530)
Net Assets (100.00%)        $585,233,970 

 

(a) Private Equity Investments are generally offered in private placement transactions and as such are illiquid and generally restricted as to resale. Total cost and fair value of illiquid and restricted securities as of June 30, 2022 was $520,444,029 and $583,307,432, respectively.

 

 

(b) Pomona Investment Fund ordinarily acquires portfolios of investments that are comprised of interests in multiple private equity funds (rather than single interests in such funds) and pays a single purchase price for each such portfolio.  As a result, the specific acquisition cost allocated to each Private Equity Investment does not necessarily reflect the actual cost of each such investment. The information regarding the Private Equity Investments, as listed in the Consolidated Schedule of Investments above, has not been prepared, reviewed or approved by any such Private Equity Fund or any general partner, manager or sponsor of such Private Equity Investments or any of their respective affiliates. As of June 30, 2022, the aggregate cost of each investment restricted to resale was: $6,544,844, $2,310,416, $3,166,371, $4,810,903, $912,217, $1,946,222, $140,144, $1,442,420, $916,381, $1,541,500, $1,768,335, $1,026,272, $–, $1,911,420, $2,725,853, $3,579,543, $1,028,429, $1,350,000, $2,538,658, $–, $–, $745,081, $–, $1,392,139, $390,084, $3,451,393, $4,764,751, $2,750,000, $2,475,863, $4,300,227, $2,356,253, $4,225,846, $3,631,082, $2,889,212, $28,494, $3,718,162, $11,589, $41,815, $1,747,809, $2,920,982, $1,647,972, $4,125, $1,149,795, $166,447, $1,981,206, $406,876, $20,004, $207,218, $298,833, $585,763, $547,290, $3,873,937, $6,339,524, $1,640,150, $1,433,742, $3,301,057, $3,942, $2,308,026, $2,154, $455,603, $202,529, $–, $370,995, $2,211,922, $13,523, $962,325, $5,516,370, $4,222,683, $49,683, $577,010, $818,430, $1,478,499, $506,356, $1,137,181, $2,220,101, $47,747, $9,439,498, $6,040,488, $992,633, $7,157,547, $444,287, $130,322, $203,464, $1,627,083, $209,397, $10,018,575, $314,006, $8,900,967, $688,460, $2,874,238, $956,897, $–, $254,866, $–, $1,811,868, $4,955,078, $959,269, $1,616,523, $616,478, $305,546, $463,350, $1,807,384, $901,020, $133,659, $1,192,677, $1,798,300, $1,061,254, $635, $24,637, $–, $916,713, $1,176,184, $582,910, $2,508,048, $8,093,750, $117,196, $127,519, $2,159,699, $212,384, $1,309,870, $774,318, $6,029,100, $1,743,956, $1,249,846, $13,778, $1,185,423, $2,048, $4,664,247, $6,539,856, $1,884,241, $1,741,331, $337,808, $163,282, $1,986,873, $2,126,265, $38,944, $261,086, $210,840, $–, $1,233,154, $2,307,270, $1,657,355, $756,539, $73,605, $1,701,939, $5,682,672, $13,175,901, $4,922,852, $311,000, $7,823,241, $656,020, $951,344, $15,508, $3,281,916, $257,535, $3,844,385, $157,636, $822,646, $5,179,717, $1,715,916, $1,316,988, $371,249, $577,528, $150,922, $708,419, $44,146, $43,615, $1,655,999, $164,062, $2,091,255, $2,477, $1,754,169, $800,503, $196,199, $156,327, $2,972,494, $239,763, $830,545, $496,027, $487,022, $2,071,441, $2,820,173, $10,272, $2,009,981, $740,734, $304,638, $7,352,233, $13,706, $29,533, $233,687, $1,884,967, $705, $6,650,126, $352,648, $–, $1,364,746, $751,526, $290,343, $5,000,000, $122,223, $1,026,522, $3,803,711, $115,171, $9,419,458, $171,384, $1,039,410, $320, $45,196, $10,226, $1,504,205, $229,506, $510,507, $8,522,915, $4,020,346, $321,272, $5,553,019, $19,151, $367,900, $3,767,171, $248,782, $6,414,863, $4,285,377, $6,023, $14,852, $141,130, $–, $810,797, $859,211, $797,643, $895,979, $903,850, $4,006,937, $675,116, $2,057,705, $890,518, $1,962,842, $1,671,580, $24,799, $493,839, $11,996,220, $956,950, $979,056, $586,313, $309,279, $243,191, $498,522, $1,097,436, $33,677, $223,457, $129,083, $364,685, $16,976,877, $14,548,349, $2,111,517, $267,492, $21,751, $1,996,919, $325,255, $1,927,737, $515,409, $276,706, $12,724,962, $4,312,665, $870,347, $3,611,204, $5,140,987, $6,292,298, $9,278,523, $2,322, $66,690, $925,725, $469,001 and $4,895,000, respectively, totaling, $520,444,029.
(c) In the case of Private Equity Investments, geographic region generally refers to where the general partner is headquartered and may be different from where a Private Equity Investment invests or operates.
(d) Non-income producing security.
(e) The rate shown is the annualized 7-day yield as of June 30, 2022.

 

 

1. Organization

 

Pomona Investment Fund (the “Fund”), was organized as a Delaware statutory trust on August 12, 2014 and commenced operations on May 7, 2015. The Fund is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as a non-diversified, closed-end management investment company. The Fund is managed by Pomona Management LLC (the “Adviser” and the “Administrator”), an investment adviser registered under the Investment Advisers Act of 1940, as amended. The Fund seeks long-term capital appreciation by investing principally in private equity investments (“Private Equity Investments”). On August 3, 2017, in connection with the Fund’s revolving credit facility with Barclays Bank PLC, Pomona Investment Fund LLC was organized as a Delaware limited liability company, and is a wholly owned subsidiary of the Fund.

 

A board of trustees (the “Board”) has overall responsibility for the management and supervision of the business operations of the Fund. As permitted by applicable law, the Board may delegate any of its rights, powers and authority to, among others, the officers of the Fund, any committee of the Board, or the Adviser.

 

2. Summary of Significant Accounting Policies

 

The Fund follows the provisions of Fair Value Measurement set forth in ASC Topic 820 (“ASC 820”). The Fund has formal valuation policies and procedures (the “Valuation Procedures”), which have been approved by the Board. The Board has delegated direct and oversight responsibilities for making valuation determinations for investments held by the Fund to a valuation committee (the “Valuation Committee”), which draws on the resources and personnel of the Administrator and the Adviser in carrying out its responsibilities. The Board receives valuation reports from the Valuation Committee on a quarterly basis and determines if the Valuation Procedures are operating as expected and the outcomes are reliable.

 

The Valuation Procedures are applied to all of the Fund’s investments, which primarily consists of the following types of Private Equity Investment strategies:

 

  Secondary Investments refer to investments in existing Private Equity assets that are typically acquired in privately negotiated transactions.

 

  Primary Investments refer to investments in newly established private equity funds.

 

  Seasoned Primary Investments refer to primary investments made after an investment fund has already invested a certain percentage of its capital commitments.

 

  Direct Investments/Co-Investments refers to investments in an operating company alongside other investors.

 

All investments are recorded at “Fair Value” in good faith. Fair value is based on actual or estimated market value, with special provisions for assets not having readily available market quotations, and for situations in which market quotations are deemed unreliable. The Private Equity Investments that the Fund makes normally do not have readily available market prices. Determining the fair value of Private Equity Investments and other assets requires that judgment be applied to the specific facts and circumstances of each asset while seeking to employ a valuation process that is consistently followed. There is not necessarily a single standard for determining fair value of such assets, and determinations of fair value may involve subjective judgments and estimates.

 

The fair values of the Fund’s Private Equity Investments are estimates and are determined by the Adviser in accordance with the Valuation Procedures. If applicable, these estimates are net of management and performance incentive fees or allocations payable pursuant to the respective organizational documents of each Private Equity Investment. Ordinarily, the fair value of a Private Equity Investment held by the Fund is based on the net asset value (“NAV”) of that Private Equity Investment reported by its investment manager. If the Adviser determines that the most recent NAV reported by the investment manager of a Private Equity Investment does not represent the fair value or if the investment manager of a Private Equity Investment fails to report a NAV to the Fund, a fair value determination is made by the Adviser in accordance with the Valuation Procedures. This includes adjusting the previous NAV provided by an investment manager with other relevant information available at the time the Fund values its portfolio, including capital activity and material events occurring between the reference dates of the investment manager’s valuation and the relevant valuation date.

 

 

 

In accordance with ASU 2015-07, the Fund is using NAV as a practical expedient. For investments that do not have readily determinable fair values and for which it is not possible to use NAV as practical expedient, such as certain Direct Investments/Co-Investments, the Fund will review and value such investments using one or more of the following types of analyses:

 

  Market comparable statistics and public trading multiples discounted for illiquidity, minority ownership and/or other factors for investments with similar characteristics.
  Discounted cash flow analysis, including a terminal value or exit multiple.
  The cost of the investment, if the cost is determined to best approximate the fair value of the investment.
  Valuations implied by third-party investment in similar assets or issuers.

 

Cash

 

The Fund holds cash at UMB Bank N.A. (the “Custodian”) and JPMorgan Chase Bank, N.A. At times, such deposits may be in excess of federally insured limits. The Fund has not experienced any losses in such accounts and does not believe it is exposed to any significant credit risk on such accounts. There are no restrictions on the cash held by the Fund.

 

Short-term Investments

 

Short-term investments represent investments in money market instruments and money market mutual funds, and are recorded at NAV per share which approximates fair value. Money market instruments are high quality, short-term fixed-income obligations, which generally have remaining maturities of one year or less and may include U.S. Government securities, commercial paper, certificates of deposit and bankers’ acceptances issued by domestic branches of U.S. banks that are members of the Federal Deposit Insurance Corporation, and repurchase agreements. There are no restrictions on the short-term investments held by the Fund.

 

Realized Gain/(Loss) on Investments, Interest Income, and Dividend Income

 

The Fund accounts for realized gains and losses, interest income, and dividend income on distributions received from Private Equity Investments based on the nature of such distributions as determined by each underlying investment manager.

 

Other Income from Private Equity Investments

 

The Fund accounts for other income on distributions received from Private Equity Investments based on the nature of such distributions as determined by the underlying investment fund managers.

 

Income Recognition and Expenses

 

Income is recognized on an accrual basis as earned. Expenses are recognized on an accrual basis as incurred.

 

 

 

The Fund bears all expenses incurred in the course of its operations, including, but not limited to, the following: all costs and expenses related to portfolio transactions and positions for the Fund’s account; professional fees; costs of insurance; registration expenses; and expenses of meetings of the Board. Certain expenses of the Fund attributable to a particular share class will be allocated to the share class to which they are attributable.

 

Use of Estimates

 

The preparation of consolidated financial statements in conformity with U.S. GAAP requires the Fund’s Administrator to make estimates and assumptions that affect the amounts reported in the consolidated financial statements and accompanying notes. Changes in the economic environment, financial markets, and any other factors or parameters used in determining these estimates could cause actual results to differ materially.

 

Foreign Currency

 

Assets and liabilities denominated in foreign currencies are translated into U.S. dollars based on the rate of exchange of such currencies against U.S. dollars on the date of valuation. Purchases and sales of investments and income and expenses are translated at the rate of exchange quoted on the respective date that such transactions are recorded. The Fund does not isolate that portion of the results of operations resulting from changes in foreign exchange rates on investments from the fluctuations arising from changes in market prices of investments held.

 

3. Fair Value Disclosures

 

In accordance with ASC 820, the Fund discloses the fair value of its investments in a hierarchy that prioritizes the inputs to valuation techniques used to measure the fair value. The hierarchy gives the highest priority to valuations based on unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurement) and the lowest priority to valuations based upon unobservable inputs that are significant to the valuation (Level 3 measurement). The guidance establishes three levels of fair value as listed below.

 

-Level 1 – Unadjusted quoted prices in active markets for identical investments that the Fund has the ability to access at the measurement date

 

-Level 2 - Inputs other than quoted prices that are observable for the asset or liability, either directly or indirectly, including inputs in markets that are not considered to be active

 

-Level 3 – Significant unobservable inputs

 

The notion of unobservable inputs is intended to allow for situations in which there is little, if any, market activity for the asset or liability at the measurement date. Under Level 3, the owner of an asset must determine fair value based on its own assumptions about what market participants would take into account in determining the fair value of the asset, using the best information available.

 

The inputs or methodology for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

A financial instrument’s level within the fair value hierarchy is based upon the lowest level of any input that is significant to the fair value measurement; however, the determination of what constitutes “observable” requires significant judgment by the Administrator. The Administrator considers observable data to be market data that is readily available, regularly distributed or updated, reliable and verifiable, not proprietary, and provided by independent sources that are actively involved in the relevant market. The Fund’s Private Equity Investments are generally restricted securities that are subject to substantial holding periods and restrictions on resale and are not traded in public markets. Accordingly, the Fund may not be able to resell such investments for extended periods, if at all.

 

 

The following table is a summary of information about the levels within the fair value hierarchy at which the Fund’s investments are measured as of June 30, 2022:

 

Investments in Securities at Value 

Level 1 - Unadjusted

Quoted Prices

 

Level 2 - Other Significant

Observable Inputs

 

Level 3 - Significant

Unobservable Inputs

  Total
Short-Term Investments  $60,985,068   $   $   $60,985,068 
TOTAL  $60,985,068   $   $   $60,985,068 

 

As the Fund uses the NAV as a practical expedient to determine the fair value of certain Private Equity Investments, these investments have not been classified in the U.S. GAAP fair value hierarchy. As of June 30, 2022, $583,307,432 was fair valued utilizing NAV as practical expedient.

 

As of June 30, 2022 there were no level 3 investments held in the Fund.