Form Ds provide information on individual, unregistered securities offerings.
Search by Recipient Name or Primary Issuer:
Recipient | CRD | Primary Issuer | CIK | Filing Date | Form Type | Total Offering Amount | Total Amount Sold |
---|---|---|---|---|---|---|---|
EMERSON EQUITY LLC | 130032 | GK DST - Cedar Falls Grocery | 1680064 | 04/05/2017 | D/A | $5,076,122 | $3,229,026 |
EMERSON EQUITY LLC | 130032 | CX Station at Savannah Quarters, DST | 1831672 | 12/18/2020 | D | $21,173,843 | $3,131,987 |
EMERSON EQUITY LLC | 130032 | Clinigence Holdings, Inc. | 1755447 | 05/06/2019 | D/A | $8,750,000 | $3,115,000 |
EMERSON EQUITY LLC | 130032 | NexPoint Polo Glen DST | 1807308 | 06/04/2020 | D/A | $29,944,929 | $3,108,062 |
EMERSON EQUITY LLC | 130032 | Starboard Madison View DST | 1769162 | 09/16/2019 | D/A | $7,300,000 | $3,101,789 |
EMERSON EQUITY LLC | 130032 | Privateshares, LLC | 1516986 | 03/30/2011 | D | $3,090,000 | $3,090,000 |
EMERSON EQUITY LLC | 130032 | NB PARK PLAZA PROVO, LLC | 1682205 | 08/19/2016 | D | $3,267,847 | $3,062,800 |
EMERSON EQUITY LLC | 130032 | Virtua Surprise Dysart Holdings Opportunity Fund, LLC | 1777354 | 05/28/2020 | D/A | $12,100,000 | $3,004,623 |
EMERSON EQUITY LLC | 130032 | Virtua Avondale Hotel Holdings Opportunity Fund, LLC | 1761669 | 11/27/2019 | D/A | $8,500,000 | $2,969,854 |
EMERSON EQUITY LLC | 130032 | TSWR DEVELOPMENT SWD PORTFOLIO I, DST | 1669072 | 02/01/2018 | D/A | $4,100,000 | $2,940,990 |