Fund Fundamentals
Name That Fund
Show Me the Money
Fund Accounting 101
Speak Like a Fund Person
100

The formal request from a private fund asking investors to fund a portion of their committed capital.

What is a capital call?

100

This type of private fund primarily acquires ownership interests in privately held companies.

What is a private equity fund?

100

This abbreviation represents a fund's total assets minus its total liabilities.

What is NAV?

100

Under U.S. GAAP investment-company accounting, investments are generally reported using this measurement basis.

What is fair value?

100

The portion of an investor's committed capital to a private fund that has not yet been contributed.

What is an unfunded commitment?

200

Explain what a capital commitment is in a private fund.

The amount of capital an investor agrees to provide to the fund.

200

Explain what distinguishes a private credit fund based on the type of investments it primarily holds.

It primarily originates or invests in privately negotiated loans and other private debt investments.

200

Explain what carried interest is in a private fund.

The GP's or manager's share of the fund's investment profits, subject to the fund's governing terms.

200

Explain the primary purpose of a Schedule of Investments.

To present the fund's investment holdings and related investment information, including fair value.

200

Explain what MOIC measures.

The multiple of an investment's total value relative to the capital invested.

300

In a private fund, this investor provides capital but generally does not participate in the fund's day-to-day management or investment decisions.

Who is a Limited Partner (LP)?

300

This public investment fund pools investor capital and generally allows investors to purchase or redeem shares directly from the fund at NAV.

What is a mutual fund?

300

A private fund requires investors to receive an 8% minimum return before the GP becomes entitled to carried interest. The 8% threshold is called this.

What is the preferred return (hurdle rate)?

300

Under ASC 820, an investment is valued using an unadjusted quoted price for the identical investment in an active market. What fair value hierarchy classification applies?

What is Level 1?

300

This performance metric accounts for both the amount and timing of investment cash flows and is expressed as an annualized percentage.

What is IRR?

400

Explain the primary role of the General Partner (GP) in a private fund.

The GP manages and controls the fund and is responsible for its investment activities.

400

This public investment fund trades on a stock exchange throughout the day, allowing its market price to differ from its NAV.

What is an ETF?

400

For a public mutual fund, explain what its expense ratio measures.

The fund's annual operating expenses as a percentage of its average net assets.

400

A public investment fund has $525 million of total assets, $25 million of liabilities, and 20 million shares outstanding. What is its NAV per share?

What is $25.00?

400

A private fund has received $50 million from investors and has distributed $75 million back to them. What is its DPI?

What is 1.5x?

500

A private fund has completed its investment period and is now primarily managing existing investments, selling investments, and returning capital to investors. This stage of the fund's life is commonly called this.

What is the harvest period?

500

Explain what distinguishes a fund of funds from a traditional investment fund.

It invests primarily in other investment funds rather than directly in underlying portfolio investments.

500

A private fund distributes carried interest to the GP early in its life. At liquidation, the GP is determined to have received more carried interest than permitted under the fund agreement. This provision may require the GP to return the excess amount.

What is a clawback?

500

Explain the purpose of ASC 946.

It provides specialized U.S. GAAP accounting and reporting guidance for entities that qualify as investment companies.

500

A private fund has $100 million of paid-in capital, has distributed $60 million to investors, and has $90 million of remaining NAV. What is its TVPI?

What is 1.5x?

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