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 |
---|---|---|---|---|---|---|---|
MORGAN STANLEY | 149777 | Beldore Capital Fund LLC | 1404013 | 11/08/2019 | D/A | Indefinite | $5,818,932 |
MORGAN STANLEY | 149777 | Beldore Capital Fund LLC | 1404013 | 11/13/2020 | D/A | Indefinite | $5,818,932 |
MORGAN STANLEY | 149777 | Beldore Capital Fund LLC | 1404013 | 11/18/2021 | D/A | Indefinite | $5,818,932 |
MORGAN STANLEY | 149777 | Morgan Stanley HedgePremier/Metacapital Rising Rates Fund LP | 1604952 | 04/07/2014 | D | Indefinite | $5,750,000 |
MORGAN STANLEY | 149777 | Morgan Stanley HedgePremier/Avenue Fund, Ltd. | 1510772 | 01/14/2015 | D/A | Indefinite | $5,697,500 |
MORGAN STANLEY | 149777 | HedgePremier/Avenue Fund Ltd | 1510772 | 08/03/2015 | D/A | Indefinite | $5,697,500 |
MORGAN STANLEY | 149777 | Morgan Stanley HedgePremier/GSO Special Situations Offshore Fund Ltd. | 1590467 | 10/31/2013 | D | Indefinite | $5,633,443 |
MORGAN STANLEY | 149777 | HedgeForum York International, LLC | 1526372 | 06/18/2013 | D/A | Indefinite | $5,622,000 |
MORGAN STANLEY | 149777 | NATIONWIDE PRIVATE PLACEMENT VARIABLE ACCOUNT | 1135856 | 03/21/2017 | D/A | $6,602,534 | $5,502,112 |
MORGAN STANLEY | 149777 | AIP Private Markets Income Fund I (Cayman) LP | 1617604 | 08/28/2014 | D | Indefinite | $5,500,000 |