AUMdb

Navis Asia Fund Viii, L.P.

Private Equity Fund · Cayman Islands

Advised by Navis Capital Partners Ltd. · reported Jun 2024

Gross asset value

$827M

Beneficial owners

54

Minimum investment

$20.0M

Adviser & related persons own

8%

Structure & investors

SEC fund ID
805-2888909903
Exclusion
3(c)(1)
Fund of funds
Yes
Owned by funds of funds
11%
Non-US ownership
76%
Adviser's clients invested
0%

Reported by the adviser in Form ADV Section 7.B.(1), filing of June 2024. Figures are as reported by the adviser and not independently verified.