📄 Extracted Text (502 words)
GLDUS131 Bright Group
II. SUMMARY OF PRINCIPAL TERMS OF THE ACCESS FUND
To understand this investment opportunity, a prospective investor should read both this summary ofterms
of Glendower Access Secondary Opportunities IV (U.S), LP. (the 'Access Fund') and the summary of
terms andconditions ofGlendower CapitalSecondary Opportunities Pundit/. LP (together with its parallel
investmentfunds and alternative investmentfunds. if applicable, the "Underlying Fund") in the attached
ConfidentialPrivate Placement Memorandum ofthe Underlying Fund dated October 2017 (together with
the first supplement thereto, and as it may befitrther amended and/or supplementedfrom time to time, the
"Underlying FundPPM") and the limitedpartnership agreement ofthe Underlying Fund, which shall be
provided upon request by the GeneralPartner or Investment Manager.
The following information is presented as a summary ofprincipal terms of the Access Fund and an
investment in the Interests. This summary (and terms of the Access Fund described elsewhere in this
Memorandum) is qualified in its entirety by reference to the Access Fund's Amended andRestatedLimited
Partnership Agreement (as amended, restated or otherwise modifiedfrom time to time, the "Partnership
Agreement'). and the subscription agreement and the related documentation with respect thereto (the
"Subscription Agreement." and together with the Partnership Agreement, the 'Agreements'). copies of
which will be provided to each prospective investor upon request. The forms ofsuch Agreements should
be reviewed carefully. In the event ofa conflict between the terms ofthis summary and the Agreements.
the Agreements will control.
The Access Fund Glendower Access Secondary Opportunities IV (U.S.), L.P., a Delaware
limited partnership (the "Access Fund").
The General Partner The general partner of the Access Fund is Glendower Access Secondary
Opportunities IV GP LLC, a Delaware limited liability company (the
- General Partner"). The General Partner is responsible for the overall
management of the Access Fund, as described further in the Partnership
Agreement. Unless othenvise specified, all actions referred to herein as
being taken by the Access Fund will be performed by the General Partner
or its delegates (including the Investment Manager as defined below).
All references herein to the General Partner refer to the General Partner
or the entities (such as the Investment Manager) to which the General
Partner has delegated its authority as permitted under the Partnership
Agreement.
The Investment Manager iCapital Advisors, LLC or an affiliate thereof will serve as the
investment manager (the "Investment Manager") for the Access Fund,
pursuant to an Investment Management Agreement (as defined below)
with the General Partner. The General Partner will delegate the day-to-
day operations of the Access Fund to the Investment Manager. The
Investment Manager may assign its rights and obligations under the
Investment Management Agreement to any of its affiliates without
consent of the Limited Partners. Pursuant to a delegation from the
General Partner, the Investment Manager will generally have full
investment discretion over the assets of the Access Fund and MI
authority to conduct the day-to-day business and operations of the
Access Fund. The Investment Manager will receive a management fee
Proprietary and Confidential
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0099228
CONFIDENTIAL SDNY_GM_00245412
EFTA01393588
ℹ️ Document Details
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26c836eb1aec3f5ed9ce8eed6694b45e9858f01e08b850447cc94ddda8cb4d23
Bates Number
EFTA01393588
Dataset
DataSet-10
Document Type
document
Pages
1
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