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SOF III - 1081 Southern Financial LLC
DB SOF - Portfolio diversification
As of September 30, 2013
Asset Type Investment Strategy Sector Composition
4% 2% 2%1%
12% • Co-Investment 5%
31% 5%
• Mid-Market Buyout
• Fund Secondaries (LPs) 9% ilk
12% a Growth Equity / Late Stage
• Direct Secondaries
Venture Capital
Co-investments • Mezzanine
12%
13% S• Large Buyout
23%
• Special Situations / Energy
28% 15%
• Healthcare
Asset Geography Vintage Year • IT and technology
• Industrials
3% 10% • Other
23% • 1988-1999
• Consumer
15% • 2000-2005 * Financial Services
• Europe
• North America 2006 Communications and Media
Rest of the World
• 2007 Business Services
18% • 2008 • Natural Resources
Transportation
• 2009-2010
Liiillti
(1) Figures represent fi;i5 niwket valve of the C8 SOF portfr.Uo as at September 30. 2013. Historical deal froµ characteristics do not provale a prediction of futuie deal 5-ow trends.
(2) This page should be read and reviewed in corijunction with the 'Important Perfonnance Information' and 'Certain Risk Factors' sections at the end of this presentation.
Deutsche Asset
3 Wealth Managerneni 36
CONFIDENTIAL - PURSUANT TO FED. R. GRIM. P. 6(e) DB-SDNY-0 108644
CONFIDENTIAL SDNY_GM_00254828
EFTA01451824
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EFTA01451824
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