0001145549-23-052975.txt : 20230828 0001145549-23-052975.hdr.sgml : 20230828 20230828121916 ACCESSION NUMBER: 0001145549-23-052975 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230630 FILED AS OF DATE: 20230828 DATE AS OF CHANGE: 20230828 PERIOD START: 20240331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Bow River Capital Evergreen Fund CENTRAL INDEX KEY: 0001810256 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23566 FILM NUMBER: 231212821 BUSINESS ADDRESS: STREET 1: 205 DETROIT STREET STREET 2: SUITE 800 CITY: DENVER STATE: CO ZIP: 80206 BUSINESS PHONE: (303) 861-8466 MAIL ADDRESS: STREET 1: 205 DETROIT STREET STREET 2: SUITE 800 CITY: DENVER STATE: CO ZIP: 80206 FORMER COMPANY: FORMER CONFORMED NAME: Bow River Capital Evergreen Private Equity Fund DATE OF NAME CHANGE: 20200421 NPORT-P 1 primary_doc.xml NPORT-P false 0001810256 XXXXXXXX Bow River Capital Evergreen Fund 811-23566 0001810256 549300MCKUIHR7P7SO70 205 Detroit Street, Suite 800 Denver 80206 3038618466 Bow River Capital Evergreen Fund 549300MCKUIHR7P7SO70 2024-03-31 2023-06-30 N 376406054.635000000000 7136250.428251000000 369269804.206700000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 795606.040000000000 N ACP Hyperdrive Co-invest LLC N/A ACP Hyperdrive Co-invest LLC 999999999 2620000 OU Other Units USD 2620000 0.7095083243 Long PF US Y N/A N N N Adams Street 2009 Direct Fund, L.P. N/A Adams Street 2009 Direct Fund, L.P. 999999999 24521 OU Other Units USD 24521 0.0066404021 Long PF US Y N/A N N N Adams Street 2010 Direct Fund, L.P. N/A Adams Street 2010 Direct Fund, L.P. 999999999 28612 OU Other Units USD 28612 0.0077482642 Long PF US Y N/A N N N Adams Street 2011 Direct Fund LP N/A Adams Street 2011 Direct Fund LP 999999999 41230 OU Other Units USD 41230 0.0111652779 Long PF US Y N/A N N N Adams Street 2011 Non-US Developed Markets Fund LP N/A Adams Street 2011 Non-US Developed Markets Fund LP 999999999 141905 OU Other Units USD 141905 0.0384285415 Long PF US Y N/A N N N Adams Street 2011 US Fund, L.P. N/A Adams Street 2011 US Fund, L.P. 999999999 297373 OU Other Units USD 297373 0.0805300072 Long PF US Y N/A N N N Adams Street 2013 Global Fund LP N/A Adams Street 2013 Global Fund LP 999999999 1854862 OU Other Units USD 1854862 0.5023053547 Long PF US Y N/A N N N Adams Street 2014 Global Fund LP N/A Adams Street 2014 Global Fund LP 999999999 1037678 OU Other Units USD 1037678 0.2810080836 Long PF US Y N/A N N N Adams Street Partnership Fund 2009 Non-U.S. Developed Markets Fund, L.P. N/A Adams Street Partnership Fund 2009 Non-U.S. Developed Markets Fund, L.P. 999999999 111345 OU Other Units USD 111345 0.0301527498 Long PF US Y N/A N N N Adams Street Partnership Fund 2009 US Fund, L.P. N/A Adams Street Partnership Fund 2009 US Fund, L.P. 999999999 244214 OU Other Units USD 244214 0.0661343000 Long PF US Y N/A N N N Adams Street Partnership Fund-2010 Non-U.S. Developed Markets Fund, L.P. N/A Adams Street Partnership Fund-2010 Non-U.S. Developed Markets Fund, L.P. 999999999 111673 OU Other Units USD 111673 0.0302415737 Long PF US Y N/A N N N Adams Street Partnership Fund-2010 US Fund, LP N/A Adams Street Partnership Fund-2010 US Fund, LP 999999999 273374 OU Other Units USD 273374 0.0740309651 Long PF US Y N/A N N N Altor Fund IV (Project Eddington) N/A Altor Fund IV (Project Eddington) 999999999 6180289.33 OU Other Units USD 6180289.33 1.6736514222 Long PF NO Y N/A N N N AP DSB Co-invest LLC II, LP N/A AP DSB Co-invest LLC II, LP 999999999 3561985 OU Other Units USD 3561985 0.9646022933 Long PF US Y N/A N N N APS (Feeder) 2017 Global Fund LP N/A APS (Feeder) 2017 Global Fund LP 999999999 1171674 OU Other Units USD 1171674 0.3172948307 Long PF KY Y N/A N N N Ashgrove Speciality Lending Fund I N/A Ashgrove Speciality Lending Fund I 999999999 1152792.88 OU Other Units USD 1152792.88 0.3121817346 Long PF LU Y N/A N N N Avista Capital Partners V LP N/A Avista Capital Partners V LP 999999999 4690650 OU Other Units USD 4690650 1.2702500845 Long PF US Y N/A N N N Biloxi Co-investment Partners, L.P. N/A Biloxi Co-investment Partners, L.P. 999999999 1761065.56 OU Other Units USD 1761065.56 0.4769048376 Long PF US Y N/A N N N BRCE SPV I, LLC N/A BRCE SPV I, LLC 999999999 255714.9 OU Other Units USD 255714.9 0.0692487978 Long PF US Y 3 N N N Butterfly Nourish Co-invest Project Nourish N/A Butterfly Nourish Co-invest Project Nourish 999999999 4999848 OU Other Units USD 4999848 1.3539823574 Long PF US Y 3 N N N BW Colson Co-Invest Feeder (Cayman) LP N/A BW Colson Co-Invest Feeder (Cayman) LP 999999999 3988101 OU Other Units USD 3988101 1.0799965106 Long PF KY Y N/A N N N Coller CCO I GP, LP N/A Coller CCO I GP, LP 999999999 2471828 OU Other Units USD 2471828 0.6693826497 Long PF GG Y N/A N N N Coller Credit Opportunities I-Annex I N/A Coller Credit Opportunities I-Annex I 999999999 3194183 OU Other Units USD 3194183 0.8649997816 Long PF LU Y N/A N N N Coller International Partners VI Feeder Fund, L.P. N/A Coller International Partners VI Feeder Fund, L.P. 999999999 568555.23 OU Other Units USD 568555.23 0.1539674307 Long PF KY Y N/A N N N Coller International Partners VII Feeder Fund, L.P. N/A Coller International Partners VII Feeder Fund, L.P. 999999999 1833567.06 OU Other Units USD 1833567.06 0.4965385848 Long PF GG Y N/A N N N Constellation 2022 L.P. N/A Constellation 2022 L.P. 999999999 4998967 OU Other Units USD 4998967 1.3537437784 Long PF US Y N/A N N N Corsair Amore Investors N/A Corsair Amore Investors 999999999 5004267 OU Other Units USD 5004267 1.3551790433 Long PF KY Y N/A N N N Coyote 2021 LP (Friendly Skies) N/A Coyote 2021 LP (Friendly Skies) 999999999 7652220 OU Other Units USD 7652220 2.0722571715 Long PF US Y N/A N N N Enak Aggregator L.P. N/A Enak Aggregator L.P. 999999999 3207237.69 OU Other Units USD 3207237.69 0.8685350531 Long PF GG Y N/A N N N EnCap Energy Transition Fund 1-A, L.P. N/A EnCap Energy Transition Fund 1-A, L.P. 999999999 3061754.41 OU Other Units USD 3061754.41 0.8291374965 Long PF US Y N/A N N N Falcon Co-investment Partners, LP N/A Falcon Co-investment Partners, LP 999999999 2894497 OU Other Units USD 2894497 0.7838434031 Long PF US Y N/A N N N Felicitas Equity Fund LP (Project Fun) N/A Felicitas Equity Fund LP (Project Fun) 999999999 1348823.47 OU Other Units USD 1348823.47 0.3652677405 Long PF US Y N/A N N N FFL Capital Partners V, LP N/A FFL Capital Partners V, LP 999999999 5623623 OU Other Units USD 5623623 1.5229035616 Long PF US Y N/A N N N Grain Spectrum Holdings III (Cayman), L.P. N/A Grain Spectrum Holdings III (Cayman), L.P. 999999999 3313905 OU Other Units USD 3313905 0.8974210624 Long PF US Y N/A N N N Graphite Capital Partners VIII D LP N/A Graphite Capital Partners VIII D LP 999999999 4758610.68 OU Other Units USD 4758610.68 1.2886541563 Long PF GB Y 3 N N N Heka - Debt N/A Heka - Debt 999999999 5208720 PA USD 5771134.33 1.5628503236 Long LON FR Y N/A 2030-10-31 Fixed 8.00 N N Y N N N Heka - Equity N/A Heka - Equity 999999999 1666204.13 OU Other Units USD 1666204.13 0.4512159161 Long PF FR Y N/A N N N ISH Co-investment Aggregator LP N/A ISH Co-investment Aggregator LP 999999999 2611344 OU Other Units USD 2611344 0.7071642388 Long PF US Y N/A N N N KH Aggregator LP N/A KH Aggregator LP 999999999 4463918.37 OU Other Units USD 4463918.37 1.2088500926 Long PF US Y N/A N N N Lynx EBO Fund I(A), LLC N/A Lynx EBO Fund I(A), LLC 999999999 292801.56 OU Other Units USD 292801.56 0.0792920398 Long PF US Y N/A N N N Ocean Sound Partners Fund LP N/A Ocean Sound Partners Fund LP 999999999 4594774 OU Other Units USD 4594774 1.2442864127 Long PF US Y N/A N N N OceanSound Partners Co-Invest II, LP - Series B N/A OceanSound Partners Co-Invest II, LP - Series B 999999999 5464518 OU Other Units USD 5464518 1.4798171791 Long PF US Y N/A N N N OceanSound Partners Co-Invest II, LP - Series E N/A OceanSound Partners Co-Invest II, LP - Series E 999999999 7569913 OU Other Units USD 7569913 2.0499680488 Long PF US Y N/A N N N Onex OD Co-Invest LP N/A Onex OD Co-Invest LP 999999999 5292788 OU Other Units USD 5292788 1.4333118873 Long PF US Y N/A N N N Onex Partners Fund V LP N/A Onex Partners Fund V LP 999999999 6516342 OU Other Units USD 6516342 1.7646560660 Long PF US Y N/A N N N Onex Structured Credit Opportunities International Fund I, LLC N/A Onex Structured Credit Opportunities International Fund I, LLC 999999999 1630001 OU Other Units USD 1630001 0.4414119382 Long PF KY Y N/A N N N Overbay Fund XIV Offshore (AIV)LP (Skyview) N/A Overbay Fund XIV Offshore (AIV)LP (Skyview) 999999999 3855435.48 OU Other Units USD 3855435.48 1.0440700637 Long PF CA Y N/A N N N Overbay Fund XIV Offshore LP N/A Overbay Fund XIV Offshore LP 999999999 2204374.21 OU Other Units USD 2204374.21 0.5969549053 Long PF CA Y N/A N N N Overbay XIV - AIV III (Quebec) N/A Overbay XIV - AIV III (Quebec) 999999999 2107844.33 OU Other Units USD 2107844.33 0.5708141597 Long PF CA Y N/A N N N Palms Co-Investment Partners, LP N/A Palms Co-Investment Partners, LP 999999999 3807859 OU Other Units USD 3807859 1.0311861291 Long PF US Y N/A N N N Pathstone Family Office LLC N/A Pathstone Family Office LLC 999999999 3000000 PA USD 2301292.14 0.6232007366 Long LON US Y 3 2029-05-15 Floating 11.84 N N N N N N PIMCO DISCO Fund II Offshore Feeder, L.P. N/A PIMCO DISCO Fund II Offshore Feeder, L.P. 999999999 4885109.98 OU Other Units USD 4885109.98 1.3229107618 Long PF KY Y N/A N N N Polaris Newco N/A Polaris Newco 999999999 2000000 PA USD 1705000 0.4617220202 Long LON US Y 3 2029-06-03 Floating 14.45 N N N N N N Porcupine Holdings LP Class A N/A Porcupine Holdings LP Class A 999999999 2904269.06 OU Other Units USD 2904269.06 0.7864897229 Long PF US Y N/A N N N Porcupine Holdings LP Class B N/A Porcupine Holdings LP Class B 999999999 2414925 OU Other Units USD 2414925 0.6539730496 Long PF US Y N/A N N N Post Limited Term High Yield Fund LP N/A Post Limited Term High Yield Fund LP 999999999 6103768.71 OU Other Units USD 6103768.71 1.6529292784 Long PF US Y N/A N N N Project Dimension N/A Project Dimension 999999999 4000000 PA USD 4916442.28 1.3313956960 Long DBT US Y N/A 2099-12-31 Floating 14.86 N N Y N N N Project Palmer Square Loan Funding 2021-3 N/A Project Palmer Square Loan Funding 2021-3 999999999 1267829 OU Other Units USD 1267829 0.3433340570 Long PF KY Y 2 N N N Project Pavilion N/A Project Pavilion 999999999 718147 PA USD 888094.85 0.2405002629 Long LON GB Y 3 2026-04-09 Floating 12.80 N N N N N N Project Riser N/A Project Riser 999999999 4635058 OU Other Units USD 4635058 1.2551955094 Long PF US Y N/A N N N Project Stream Co-Invest Fund, LP N/A Project Stream Co-Invest Fund, LP 999999999 1666765.51 OU Other Units USD 1666765.51 0.4513679405 Long PF US Y N/A N N N Project Telluride (CRG Fund III) N/A Project Telluride (CRG Fund III) 999999999 3552118 OU Other Units USD 3552118 0.9619302633 Long PF US Y N/A N N N Project Tiger (DSG Group Holdings LP) N/A Project Tiger (DSG Group Holdings LP) 999999999 6892129 OU Other Units USD 6892129 1.8664209533 Long PF US Y 3 N N N Project Watson - Coller International Partners VI Feeder Fund, L.P. N/A Project Watson - Coller International Partners VI Feeder Fund, L.P. 999999999 349556.19 OU Other Units USD 349556.19 0.0946614605 Long PF KY Y N/A N N N Project Watson - Global Infrastructure Partners II - C, L.P. N/A Project Watson - Global Infrastructure Partners II - C, L.P. 999999999 1189762.53 OU Other Units USD 1189762.53 0.3221932897 Long PF GG Y N/A N N N RenRe Medici Fund N/A RenRe Medici Fund 999999999 7228452.88 OU Other Units USD 7228452.88 1.9574990421 Long PF US Y N/A N N N Ruffer Absolute Institutional Limited N/A Ruffer Absolute Institutional Limited 999999999 4792520.66 OU Other Units USD 4792520.66 1.2978371384 Long PF KY Y N/A N N N Saba Capital Carry Neutral Tail Hedge Offshore Fund Ltd N/A Saba Capital Carry Neutral Tail Hedge Offshore Fund Ltd 999999999 5091163.1 OU Other Units USD 5091163.1 1.3787109160 Long PF KY Y N/A N N N Sal Pension Fund Limited N/A Sal Pension Fund Limited 999999999 11134752.69 OU Other Units USD 11134752.69 3.0153434056 Long PF US Y N/A N N N Sand Trust Series 21-1A, Class SUB N/A Sand Trust Series 21-1A, Class SUB 999999999 629238.3 OU Other Units USD 629238.3 0.1704006915 Long PF US Y 2 N N N SEP Hamilton III Aggregator LP N/A SEP Hamilton III Aggregator LP 999999999 6585374 OU Other Units USD 6585374 1.7833502564 Long PF US Y N/A N N N SEP Skyhawk Fund III Aggregator LP N/A SEP Skyhawk Fund III Aggregator LP 999999999 545487 OU Other Units USD 545487 0.1477204455 Long PF US Y N/A N N N Sheridan Capital Partners Fund III LP Project Sheridan N/A Sheridan Capital Partners Fund III LP Project Sheridan 999999999 999249.64 OU Other Units USD 999249.64 0.2706015029 Long PF US Y 3 N N N Silver Lake Strategic Investors VI, LP (Project Quartz) N/A Silver Lake Strategic Investors VI, LP (Project Quartz) 999999999 5000000 OU Other Units USD 5000000 1.3540235197 Long PF US Y N/A N N N Sumeru Equity Partners Fund III L.P. N/A Sumeru Equity Partners Fund III L.P. 999999999 2666459.01 OU Other Units USD 2666459.01 0.7220896428 Long PF US Y N/A N N N Sumeru Equity Partners Fund IV L.P. N/A Sumeru Equity Partners Fund IV L.P. 999999999 716361.81 OU Other Units USD 716361.81 0.1939941479 Long PF US Y N/A N N N The Global Atlantic Financial Group LLC (Magnolia 2001278) N/A The Global Atlantic Financial Group LLC (Magnolia 2001278) 999999999 4879888.96 OU Other Units USD 4879888.96 1.3214968850 Long PF BM Y 3 N N N TKO Fund N/A TKO Fund 999999999 3657838.96 OU Other Units USD 3657838.96 0.9905599966 Long PF FR Y N/A N N N US Hospitality Publishers Inc (Engagement) N/A US Hospitality Publishers Inc (Engagement) 999999999 2150000 PA USD 1979877.79 0.5361602187 Long LON US Y 3 2025-12-18 Floating 12.20 N N N N N N VCPF III Co-Invest 1-A L.P. (Afiniti) N/A VCPF III Co-Invest 1-A L.P. (Afiniti) 999999999 2563875 OU Other Units USD 2563875 0.6943094103 Long PF US Y N/A N N N Veregy Parent, LLC N/A Veregy Parent, LLC 999999999 3129045.97 OU Other Units USD 3129045.97 0.8473603675 Long PF US Y 3 N N N Voloridge Fund LP N/A Voloridge Fund LP 999999999 5567354.06 OU Other Units USD 5567354.06 1.5076656679 Long PF US Y N/A N N N VSTG Equity Investors LP N/A VSTG Equity Investors LP 999999999 4999608 OU Other Units USD 4999608 1.3539173642 Long PF US Y N/A N N N WestCap Cerebral Co-Invest 2021, LLC N/A Westcap Cerebral Co-Invest 2021 LLC 999999999 140775 OU Other Units USD 140775 0.0381225322 Long PF US Y N/A N N N WestCap LoanPal Co-Invest 2020, LLC N/A WestCap LoanPal Co-Invest 2020, LLC 999999999 3812272.58 OU Other Units USD 3812272.58 1.0323813473 Long PF US Y 3 N N N WestCap Strategic Operator Fund II, LP N/A WestCap Strategic Operator Fund II, LP 999999999 3974695 OU Other Units USD 3974695 1.0763661027 Long PF US Y N/A N N N WestCap Strategic Operator U.S. Feeder Fund, LP N/A Westcap Strategic Operator US Feeder Fund Incremental 999999999 120310.62 OU Other Units USD 120310.62 0.0325806818 Long PF US Y N/A N N N WestCap Strategic Operator U.S. Feeder Fund, LP N/A WestCap Strategic Operator US Feeder Fund, LP 999999999 8577034.45 OU Other Units USD 8577034.45 2.3227012749 Long PF KY Y 3 N N N Whitehorse Liquidity Partners IV LP N/A Whitehorse Liquidity Partners IV LP 999999999 3705541.81 OU Other Units USD 3705541.81 1.0034781528 Long PF US Y N/A N N N Whitehorse Liquidity Partners V LP N/A Whitehorse Liquidity Partners V LP 999999999 2894543.52 OU Other Units USD 2894543.52 0.7838560010 Long PF US Y N/A N N N Wildcat-21 N/A Wildcat-21 999999999 2592889.97 OU Other Units USD 2592889.97 0.7021668007 Long PF US Y N/A N N N Wood Mackenzie Project Planet N/A Wood Mackenzie Project Planet 999999999 3000000 PA USD 2711806 0.7343698210 Long LON US Y 3 2030-01-31 Floating 11.85 N N N N N N GOLDMAN SACHS FINANCIAL SQUARE GOVERNMENT FUND N/A GOLDMAN SACHS FINANCIAL SQUARE GOVERNMENT FUND 38141W273 24800451.26 PA USD 24800451.26 6.7160788609 Long STIV RF US N 1 N N N UMB MONEY MARKET SPECIAL ACCOUNT / N/A UMB MONEY MARKET SPECIAL ACCOUNT / SF8888205 6370183.66 PA USD 6370183.66 1.7250757001 Long STIV CORP US N 1 N N N EUR FORWARD BOW RIVER CONTRACT 9/29/2023 / N/A EUR FORWARD BOW RIVER CONTRACT 9/29/2023 / 999999999 -2000000 OU Currency -2191073.20 -0.5379066410 N/A DFE N/A N 2 Bannockburn Global Forex 8SP4DPNKBJXD8RON4R15 2000000 EUR 2177400 USD 2023-09-29 -13673 N N N US Treasury Bill 254900HROIFWPRGM1V77 US Treasury Bill 912796ZZ5 19999761.6 PA USD 19999761.6 5.4160295188 Long DBT UST US N 2 2023-07-20 Fixed 0 N N N N N N US Treasury Bill 254900HROIFWPRGM1V77 US Treasury Bill 912796Z36 14999706.73 PA USD 14999706.73 4.0619911401 Long DBT UST US N 2 2023-08-17 Fixed 0 N N N N N N UMB MONEY MARKET II SPECIAL ACCOUNT N/A UMB MONEY MARKET II SPECIAL ACCOUNT SF8888628 20191512.44 PA USD 20191512.44 5.4679565483 Long STIV CORP US N 1 N N N 2023-07-27 Bow River Capital Evergreen Fund /s/ Derek Mullins Derek Mullins Treasurer XXXX NPORT-EX 2 ea159860_nportex.htm PART F

Bow River Capital Evergreen Fund

Schedule of Investments

6/30/2023 (Unaudited)

 

 

   Investment Strategy  Fair Value 
Private Investments - 78.2%        
Co-Investments - 37.0%        
Credit - 6.7%        
Ashgrove Specialty Lending Investments I, 12.80% (SONIA +7.75% + CSA, 0.50% Floor), 4/9/2026, principal  GBP 718,1471,2  Private Credit Co-Investment  888,095 
Digital Alpha Solutions Fund, LP, 14.86% (SOFR3M + 9.50% PIK + CSA)1,3  Private Credit Co-Investment   4,916,442 
Palmer Square Loan Funding 2021-3, Ltd.1  Private Credit Co-Investment   1,267,829 
PARIOU SLP., 8.00% PIK, 10/31/2030, principal EUR 5,208,7201,3  Private Credit Co-Investment   5,771,135 
Pathstone Family Office, LLC, 11.84% (SOFR1M + 6.75% + CSA, 1.00% Floor), 5/15/2029, principal $3,000,0001,2  Private Credit Co-Investment   2,301,292 
Planet US Buyer, LLC, 11.85% (SOFR3M + 6.75%, 0.75% Floor), 1/31/2030, principal $3,000,0001,2  Private Credit Co-Investment   2,711,806 
Polaris Newco, 14.45% (SOFR3M + 9.25% + CSA, 1.00% Floor), 6/3/2029, principal $2,000,0001,2  Private Credit Co-Investment   1,705,000 
Sand Trust Series 21-1A - Class SUB, 10/15/20341  Private Credit Co-Investment   629,238 
US Hospitality Publishers, Inc., 12.20% (SOFR3M + 7.00% + CSA, 1.00% Floor), 12/18/2025, principal $2,150,0001,2  Private Credit Co-Investment   1,979,878 
VCPF III Co-Invest 1-A, LP1,3  Private Credit Co-Investment   2,563,875 
       24,734,590 
         
Equity - 30.3%        
ACP Hyperdrive Co-Invest, LLC1,3,4  Private Equity Co-Investment   2,620,000 
AP DSB Co-Invest II, LP1,3,4  Private Equity Co-Investment   3,561,985 
Biloxi Co-Investment Partners, LP1,3,4  Private Equity Co-Investment   1,761,065 
Butterfly Nourish Co-Invest, LP1,2,4  Private Equity Co-Investment   4,999,848 
BW Colson Co-Invest Feeder (Cayman), LP1,3,4  Private Equity Co-Investment   3,988,101 
Carlyle Riser Co-Investment, LP1,3,4  Private Equity Co-Investment   4,635,058 
Constellation 2022, LP1,3,4  Private Equity Co-Investment   4,998,967 
Corsair Amore Investors, LP1,3,4  Private Equity Co-Investment   5,004,267 
Coyote 2021, LP1,3,4  Private Equity Co-Investment   7,652,220 
DSG Group Holdings, LP1,2,4  Private Equity Co-Investment   6,892,129 
Enak Aggregator, LP1,3,4  Private Equity Co-Investment   3,207,238 
Falcon Co-Investment Partners, LP1,3,4  Private Equity Co-Investment   2,894,497 
ISH Co-Investment Aggregator, LP1,3,4  Private Equity Co-Investment   2,611,344 
OceanSound Partners Co-Invest II, LP - Series B1,3,4,5  Private Equity Co-Investment   5,464,518 
OceanSound Partners Co-Invest II, LP - Series E1,3,4  Private Equity Co-Investment   7,569,913 
Onex OD Co-Invest, LP1,3,4  Private Equity Co-Investment   5,292,788 
Palms Co-Investment Partners, LP1,3,4  Private Equity Co-Investment   3,807,859 
Project Stream Co-Invest Fund, LP1,3,4  Private Equity Co-Investment   1,666,765 
SANCY SLP1,3,4    Private Equity Co-Investment   1,666,204 
SEP Hamilton III Aggregator, LP1,3,4  Private Equity Co-Investment   6,585,374 
SEP Skyhawk Fund III Aggregator, LP1,3,4  Private Equity Co-Investment   545,487 
Silver Lake Strategic Investors VI, LP1,3,4  Private Equity Co-Investment   5,000,000 
The Global Atlantic Financial Group, LLC1,2,4  Private Equity Co-Investment   4,879,889 
Veregy Parent, LLC1,2,4  Private Equity Co-Investment   3,129,046 
Vistage Equity Investors, LP1,3,4  Private Equity Co-Investment   4,999,608 
WestCap Cerebral Co-Invest 2021, LLC1,3,4  Private Equity Co-Investment   140,775 
WestCap LoanPal Co-Invest 2020, LLC1,2,4  Private Equity Co-Investment   3,812,273 
Wildcat 21 Co-Invest Fund, LP1,3,4  Private Equity Co-Investment   2,592,890 
       111,980,108 
Total Co-Investments (Cost $112,780,252)      136,714,698 

 

 

 

 

Primary Funds - 15.3%          
Credit - 2.1%        
Ashgrove Specialty Lending Fund I SCSp RAIF1,3,4  Private Credit Primary  $1,152,793 
Coller Credit Opportunities I - B, LP1,3  Private Credit Primary   2,471,828 
Lynx EBO Fund I (A), LLC1,3,4  Private Credit Primary   292,802 
TKO Fund1,3,4    Private Credit Primary   3,657,839 
       7,575,262 
         
Equity - 13.2%        
Avista Capital Partners V, LP1,3,4  Private Equity Primary   4,690,650 
EnCap Energy Transition Fund 1-A, LP1,3,4  Private Equity Primary   3,061,754 
FFL Capital Partners V, LP1,3,4  Private Equity Primary   5,623,623 
Grain Spectrum Holdings III (Cayman), LP1,3,4  Private Equity Primary   3,313,905 
OceanSound Partners Fund, LP1,3,4  Private Equity Primary   4,594,774 
Onex Structured Credit Opportunities International Fund I, LLC1,3  Private Equity Primary   1,630,001 
Overbay Fund XIV Offshore, LP1,3,4  Private Equity Primary   2,204,374 
Sheridan Capital Partners Fund III, LP1,2,4  Private Equity Primary   999,250 
Sumeru Equity Partners Fund III, LP1,3,4  Private Equity Primary   2,666,459 
Sumeru Equity Partners Fund IV, LP1,3,4  Private Equity Primary   716,362 
WestCap Strategic Operator Fund II, LP1,3,4  Private Equity Primary   3,974,695 
WestCap Strategic Operator U.S. Feeder Fund, LP1,2,4  Private Equity Primary   8,577,034 
Whitehorse Liquidity Partners IV, LP1,3,4  Private Equity Primary   3,705,542 
Whitehorse Liquidity Partners V, LP1,3,4  Private Equity Primary   2,894,544 
       48,652,967 
Total Primary Funds (Cost $38,886,536)      56,228,229 
         
Private Investment Funds - 9.1%        
PIMCO DSCO Fund II Offshore Feeder, LP1,3,4  Private Credit Primary   4,885,110 
Post Limited Term High Yield Fund, LP1,3,4  Short Duration High Yield   6,103,769 
RenaissanceRe Medici Fund Ltd.1,3,4  Insurance Linked Securities   7,228,453 
Ruffer Absolute Institutional, Ltd.1,3,4  Global Macro   4,792,520 
Saba Capital Carry Neutral Tail Hedge Offshore Fund, Ltd.1,3,4  Long/Short Carry Neutral   5,091,163 
Voloridge Fund, LP1,3,4  Quant Market Neutral   5,567,354 
Total Private Investment Funds (Cost $32,887,485)      33,668,369 
         
Secondary Funds - 16.8%          
Credit - 4.9%        
AG DLI IV (Unlevered), LP1,3,4  Private Credit Secondary   11,134,753 
BRCE SPV I, LLC1,2,4  Private Credit Secondary   255,715 
Coller Credit Opportunities I - Annex I, SLP1,3  Private Credit Secondary   3,194,183 
CRG Partners III - Parallel Fund (A), LP1,3,4  Private Credit Secondary   3,552,118 
       18,136,769 

 

 

 

 

Equity - 11.9%        
Adams Street 2009 Direct Fund, LP1,3,4  Private Equity Secondary  $24,521 
Adams Street 2010 Direct Fund, LP1,3,4  Private Equity Secondary   28,612 
Adams Street 2011 Direct Fund, LP1,3,4  Private Equity Secondary   41,230 
Adams Street 2011 Non-U.S. Developed Markets Fund, LP1,3,4  Private Equity Secondary   141,905 
Adams Street 2011 U.S. Fund, LP1,3,4  Private Equity Secondary   297,373 
Adams Street 2013 Global Fund, LP1,3,4  Private Equity Secondary   1,854,862 
Adams Street 2014 Global Fund, LP1,3,4  Private Equity Secondary   1,037,678 
Adams Street Partnership Fund 2009 Non-U.S. Developed Markets Fund, LP1,3,4  Private Equity Secondary   111,345 
Adams Street Partnership Fund 2009 U.S. Fund, LP1,3,4  Private Equity Secondary   244,214 
Adams Street Partnership Fund 2010 Non-U.S. Developed Markets Fund, LP1,3,4  Private Equity Secondary   111,673 
Adams Street Partnership Fund 2010 U.S. Fund, LP1,3,4  Private Equity Secondary   273,374 
Altor Fund IV (No. 1) AB1,3,4  Private Equity Secondary   6,180,289 
ASP (Feeder) 2017 Global Fund, LP1,3,4  Private Equity Secondary   1,171,674 
Coller International Partners VI Feeder Fund, LP - Class A1,3,4  Private Equity Secondary   918,111 
Coller International Partners VII Feeder Fund, LP - Series B1,3,4  Private Equity Secondary   1,833,567 
Global Infrastructure Partners II-C, LP1,3,4  Private Equity Secondary   1,189,763 
Graphite Capital Partners VIII D, LP1,2,4  Private Equity Secondary   4,758,611 
KH Aggregator, LP1,3,4  Private Equity Secondary   4,463,918 
Onex Fund V, LP1,3,4  Private Equity Secondary   6,516,342 
Overbay Fund XIV (AIV III), LP1,3,4  Private Equity Secondary   2,107,844 
Overbay Fund XIV Offshore (AIV), LP1,3,4,5   Private Equity Secondary   3,855,435 
Porcupine Holdings, LP - Class A1,3,4  Private Equity Secondary   2,904,269 
Porcupine Holdings, LP - Class B1,3,4  Private Equity Secondary   2,414,925 
SEP Hamilton, LP1,3,4  Private Equity Secondary   1,348,824 
WestCap Strategic Operator U.S. Feeder Fund, LP1,3,4  Private Equity Secondary   120,311 
       43,950,670 
Total Secondary Funds (Cost $41,296,165)      62,087,439 
         
Total Private Investments (Cost $225,850,438)      288,698,735 

 

 

 

 

U.S. Treasury Bills - 9.5%          
United States Treasury Bill, 0.00%, 07/20/2023, principal $20,256,000     $19,999,761 
United States Treasury Bill, 0.00%, 08/17/2023, principal $15,194,000      14,999,707 
Total U.S. Treasury Bills (Cost $34,999,468)      34,999,468 
         
Short-Term Investments - 13.9%          
UMB Money Market Fiduciary, 0.01%, shares 6,370,1846,7      6,370,184 
UMB Money Market Special, 4.93%, shares 20,191,5126,7      20,191,512 
Goldman Sachs Financial Square Government Fund - Institutional Class, 4.95%, shares 24,800,4516      24,800,451 
Total Short-Term Investments (Cost $51,362,147)      51,362,147 
         
Total Investments (Cost $312,212,053) - 101.6%     $375,060,350 
Liabilities in excess of other assets - (1.6%)      (5,790,546)
Net Assets - 100.0%       $369,269,804 
         
CSA - Credit Spread Adjustment        
LLC - Limited Liability Company        
LP - Limited Partnership        
PIK - Payment In Kind        
RAIF - Reserved Alternative Investment Fund        
SCSp - Special Limited Partnership        
SLP - Special Limited Partnership        
SOFR1M - One Month Average Secured Overnight Financing Rate        
SOFR3M - Three Month Average Secured Overnight Financing Rate        
SONIA - Sterling Overnight Index Average        

 

1Restricted security. The total value of these securities is $288,698,735, which represents 78.2% of total net assets of the Fund.  Please refer to Restricted Securities in the Notes to the Schedule of Investments.
2Level 3 securities fair valued using significant unobservable inputs. The total value of these securities is $47,889,866, which represents 13.0% of total net assets of the Fund.
3Investment is valued using the Fund's pro rata net asset value (or its equivalent) as a practical expedient.
4Non-income producing.
5Affiliated investment for which ownership exceeds 5% of the investment's capital.
6Rate disclosed represents the seven day yield as of the Fund's period end.
7The account is an interest-bearing money market deposit account maintained by UMB Bank, n.a. in its capacity as a custodian for various participating custody accounts.  The Fund may redeem its investments in whole, or in part, on each business day.

 

 

 

 

On June 30, 2023, the Bow River Capital Evergreen Fund had an outstanding forward foreign currency contract with terms as set forth below:

 

            Contract Amount         
Settlement Date  Counterparty  Currency
Purchased
  Currency
Sold
  Buy  Sell   Value   Unrealized
Depreciation
 
September 29, 2023  Bannockburn Global Forex, LLC  USD  EUR  $2,177,400  EUR2,000,000   $2,191,073   $(13,673)
                          $(13,673)

 

 

 

 

Bow River Capital Evergreen Fund

Summary of Investments

6/30/2023 (Unaudited)

 

 

   Percent of Total 
Security Type/Geographic Region  Net Assets 
Private Investments    
North America   61.4%
Global   9.4%
Europe   7.4%
Total Private Investments   78.2%
U.S. Treasury Bills   9.5%
Short-Term Investments   13.9%
Total Investments   101.6%
Liabilities in excess of other assets   -1.6%
Net Assets   100.0%

 

See accompanying notes to the Schedule of Investments.

 

 

 

 

Bow River Capital Evergreen Fund

Notes to the Schedule of Investments

June 30, 2023 (Unaudited)

 

Restricted securities include securities that have not been registered under the Securities Act of 1933, as amended, and securities that are subject to restrictions on resale. The Fund may invest in restricted securities that are consistent with the Fund’s investment objectives and investment strategies. Investments in restricted securities are valued at fair value as determined in good faith in accordance with procedures adopted by the Board of Trustees.

 

Additional information on each restricted investment held by the Fund on June 30, 2023 is as follows:

 

   Initial      Fair   % of 
Investments  Acquisition Date  Cost   Value   Net Assets 
ACP Hyperdrive Co-Invest, LLC  March 7, 2022  $2,594,796   $2,620,000    0.7%
Adams Street 2009 Direct Fund, LP  April 1, 2022   27,979    24,521    0.0%
Adams Street 2010 Direct Fund, LP  April 1, 2022   28,757    28,612    0.0%
Adams Street 2011 Direct Fund, LP  April 1, 2022   47,251    41,230    0.0%
Adams Street 2011 Non-U.S. Developed Markets Fund, LP  April 1, 2022   108,883    141,905    0.0%
Adams Street 2011 U.S. Fund, LP  April 1, 2022   194,445    297,373    0.1%
Adams Street 2013 Global Fund, LP  April 1, 2022   1,499,111    1,854,862    0.5%
Adams Street 2014 Global Fund, LP  April 1, 2022   818,576    1,037,678    0.3%
Adams Street Partnership Fund 2009 Non-U.S. Developed Markets Fund, LP  April 1, 2022   87,838    111,345    0.0%
Adams Street Partnership Fund 2009 U.S. Fund, LP  April 1, 2022   192,146    244,214    0.1%
Adams Street Partnership Fund 2010 Non-U.S. Developed Markets Fund, LP  April 1, 2022   82,818    111,673    0.0%
Adams Street Partnership Fund 2010 U.S. Fund, LP  April 1, 2022   194,585    273,374    0.1%
Altor Fund IV (No. 1) AB  August 12, 2022   6,045,609    6,180,289    1.7%
AG DLI IV (Unlevered), LP  April 28, 2023   9,806,528    11,134,753    3.0%
AP DSB Co-Invest II, LP  July 30, 2021   1,799,272    3,561,985    1.0%
Ashgrove Specialty Lending Investments I  July 8, 2021   979,081    888,095    0.2%
Ashgrove Specialty Lending Fund I SCSp RAIF  December 17, 2021   991,286    1,152,793    0.3%
ASP (Feeder) 2017 Global Fund, LP  April 1, 2022   831,226    1,171,674    0.3%
Avista Capital Partners V, LP  March 16, 2021   3,891,948    4,690,650    1.3%
Biloxi Co-Investment Partners, LP  August 13, 2021   1,459,561    1,761,065    0.5%
BRCE SPV I, LLC  May 22, 2020   52,838    255,715    0.1%
Butterfly Nourish Co-Invest, LP  February 3, 2023   5,004,000    4,999,848    1.3%
BW Colson Co-Invest Feeder (Cayman), LP  March 15, 2021   3,049,786    3,988,101    1.1%
Carlyle Riser Co-Investment, LP  November 11, 2022   4,366,165    4,635,058    1.3%
Coller Credit Opportunities I - Annex I, SLP  July 29, 2021   2,546,667    3,194,183    0.9%
Coller Credit Opportunities I - B, LP  January 5, 2022   2,195,842    2,471,828    0.7%
Coller International Partners VI Feeder Fund, LP - Class A  October 1, 2020   181,893    918,111    0.2%
Coller International Partners VII Feeder Fund, LP - Series B  October 1, 2020   -    1,833,567    0.5%
Constellation 2022, LP  August 12, 2022   5,010,118    4,998,967    1.4%
Corsair Amore Investors, LP  May 27, 2022   5,038,438    5,004,267    1.4%
Coyote 2021, LP  March 29, 2021   2,613,833    7,652,220    2.1%
CRG Partners III - Parallel Fund (A), LP  December 31, 2022   2,605,791    3,552,118    1.0%
Digital Alpha Solutions Fund, LP  October 28, 2022   3,383,846    4,916,442    1.3%
DSG Group Holdings, LP  September 9, 2002   5,585,674    6,892,129    1.9%
Enak Aggregator, LP  January 18, 2022   2,861,507    3,207,238    0.9%
EnCap Energy Transition Fund 1-A, LP  April 21, 2021   1,463,801    3,061,754    0.8%
Falcon Co-Investment Partners, LP  January 26, 2022   2,908,067    2,894,497    0.8%
FFL Capital Partners V, LP  June 16, 2022   3,711,107    5,623,623    1.5%
Global Infrastructure Partners II-C, LP  January 14, 2022   271,175    1,189,763    0.3%
Grain Spectrum Holdings III (Cayman), LP  October 28, 2020   2,458,765    3,313,905    0.9%
Graphite Capital Partners VIII D, LP  June 30, 2020   1,033,324    4,758,611    1.3%
ISH Co-Investment Aggregator, LP  May 6, 2021   2,311,692    2,611,344    0.7%
KH Aggregator, LP  November 30, 2020   2,754,040    4,463,918    1.2%
Lynx EBO Fund I (A), LLC  December 18, 2020   -    292,802    0.1%
OceanSound Partners Co-Invest II, LP - Series B  November 5, 2021   3,897,268    5,464,518    1.5%
OceanSound Partners Co-Invest II, LP - Series E  December 16, 2022   5,004,000    7,569,913    2.0%
OceanSound Partners Fund, LP  December 27, 2021   3,142,788    4,594,774    1.2%
Onex Fund V, LP  September 30, 2022   5,725,882    6,516,342    1.8%
Onex OD Co-Invest, LP  November 9, 2020   3,511,271    5,292,788    1.4%

 

 

 

 

   Initial      Fair   % of 
Investments  Acquisition Date  Cost   Value   Net Assets 
Onex Structured Credit Opportunities International Fund I, LLC  May 11, 2021  $1,441,931   $1,630,001    0.4%
Overbay Fund XIV (AIV III), LP  March 26, 2021   928,715    2,107,844    0.6%
Overbay Fund XIV Offshore (AIV), LP  January 5, 2021   -    3,855,435    0.6%
Overbay Fund XIV Offshore, LP  January 22, 2021   1,075,271    2,204,374    1.0%
Palmer Square Loan Funding 2021-3, Ltd.  July 9, 2021   1,661,042    1,267,829    0.3%
Palms Co-Investment Partners, LP  June 3, 2022   3,813,524    3,807,859    1.0%
PARIOU SLP  October 14, 2022   5,055,979    5,771,135    1.6%
Pathstone Family Office, LLC  May 16, 2023   2,335,292    2,301,292    0.6%
PIMCO DSCO Fund II Offshore Feeder, LP  June 30, 2020   4,205,485    4,885,110    1.3%
Planet US Buyer, LLC  January 31, 2023   2,691,778    2,711,806    0.7%
Polaris Newco  June 18, 2021   1,944,555    1,705,000    0.5%
Porcupine Holdings, LP - Class A  December 29, 2021   2,220,277    2,904,269    0.8%
Porcupine Holdings, LP - Class B  December 29, 2021   2,010,512    2,414,925    0.6%
Post Limited Term High Yield Fund, LP  January 1, 2021   6,000,000    6,103,769    1.6%
Project Stream Co-Invest Fund, LP  October 1, 2021   2,237,313    1,666,765    0.4%
RenaissanceRe Medici Fund Ltd.  April 28, 2023   7,004,000    7,228,453    2.0%
Ruffer Absolute Institutional, Ltd.  April 1, 2022   5,004,000    4,792,520    1.3%
Saba Capital Carry Neutral Tail Hedge Offshore Fund, Ltd.  January 28, 2022   5,004,000    5,091,163    1.4%
SANCY SLP  October 14, 2022   1,698,500    1,666,204    0.4%
Sand Trust Series 21-1A - Class SUB  November 6, 2021   916,162    629,238    0.2%
SEP Hamilton III Aggregator, LP  August 17, 2020   2,519,336    6,585,374    1.8%
SEP Hamilton, LP  June 30, 2023   941,500    1,348,824    0.4%
SEP Skyhawk Fund III Aggregator, LP  August 24, 2021   510,355    545,487    0.1%
Sheridan Capital Partners Fund III, LP  March 31, 2023   1,105,847    999,250    0.3%
Silver Lake Strategic Investors VI, LP  June 2, 2023   5,004,000    5,000,000    1.4%
Sumeru Equity Partners Fund III, LP  December 8, 2020   2,123,995    2,666,459    0.7%
Sumeru Equity Partners Fund IV, LP  September 2, 2022   808,156    716,362    0.2%
The Global Atlantic Financial Group, LLC  January 1, 2021   3,849,077    4,879,889    1.3%
TKO Fund  November 4, 2022   2,954,962    3,657,839    1.0%
US Hospitality Publishers, Inc.  January 11, 2021   2,022,497    1,979,878    0.5%
VCPF III Co-Invest 1-A, LP  May 13, 2021   2,195,986    2,563,875    0.7%
Veregy Parent, LLC  November 3, 2020   3,005,300    3,129,046    0.8%
Vistage Equity Investors, LP  July 22, 2022   5,004,000    4,999,608    1.3%
Voloridge Fund, LP  November 1, 2020   5,670,000    5,567,354    1.5%
WestCap Cerebral Co-Invest 2021, LLC  June 17, 2021   258,092    140,775    0.0%
WestCap LoanPal Co-Invest 2020, LLC  December 18, 2020   2,423,828    3,812,273    1.0%
WestCap Strategic Operator Fund II, LP  July 31, 2021   3,912,612    3,974,695    1.1%
WestCap Strategic Operator U.S. Feeder Fund, LP  February 5, 2021   2,600,000    8,577,034    2.3%
WestCap Strategic Operator U.S. Feeder Fund, LP  June 30, 2023   57,798    120,311    0.3%
Whitehorse Liquidity Partners IV, LP  November 10, 2020   2,492,191    3,705,542    1.0%
Whitehorse Liquidity Partners V, LP  February 4, 2022   2,516,034    2,894,544    0.8%
Wildcat 21 Co-Invest Fund, LP  August 13, 2021   2,255,261    2,592,890    0.7%
      $225,850,438   $288,698,735    78.2%