The Related Companies NYC Separate Account Overview
- Fund Type
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Real Estate
- Fund Status
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Closed
- Fund Manager
- The Related Comp...
- Size
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- Vintage
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2013

- Dry Powder
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The Related Companies NYC Separate Account General Information
Description
The Related Companies NYC Separate Account is a real estate opportunistic fund managed by The Related Companies. The fund is located in New York, New York, and invests in New York.
Contact Information
Fund Manager's Location
- 30 Hudson Yards
- New York, NY 10001
- United States
The Related Companies NYC Separate Account Investment Strategy
The Related Companies NYC Separate Account Limited Partners (5)
New York City Board of Education Retirement System is one of The Related Companies NYC Separate Account’s 5 limited partners. Its latest Original was on 01-Jan-2013.
Limited Partner Name | Type | Status | Commitment | Date | Commitment Type |
---|---|---|---|---|---|
New York City Board of Education Retirement System | Former | 01-Jan-2013 | Original | ||
New York City Employees' Retirement System | Former | 01-Jan-2013 | Original | ||
New York City Fire Department Pension Fund | Current | 01-Jan-2013 | Original | ||
New York City Police Pension Fund | Current | 01-Jan-2013 | Original | ||
Teachers' Retirement System of the City of New York | Public Pension Fund | Former | 01-Jan-2013 | Original |
The Related Companies NYC Separate Account Returns Data
The below charts are illustrative of the type of graphical data available to our clients and do not represent live data.
The Related Companies NYC Separate Account Returns History
Period | Contribution (by all LPs) | Dry Powder | Distribution (to all LPs) | NAV | Total Fund Distr+NAV | IRR | DPI | RVPI | TVPI | Dry Powder % |
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The Related Companies NYC Separate Account Benchmark (392)
Fund Name | Fund Type | Vintage | IRR | Quartile | As of Date |
---|---|---|---|---|---|
Montez Fund III | |||||
CapRidge Partners Fund I | 31-Dec-2024 | ||||
29th Residential NPL Investments I | |||||
Morgan Stanley Real Estate Investing Fund | |||||
2GR Real Estate Fund II | |||||
Priviti Oil & Gas Opportunities 2013 | |||||
Amstar/OPERF Value Add Separate Account | 31-Mar-2016 | ||||
La Mer Investors | |||||
White Oak Opportunities Fund | |||||
San Francisco Waterfront Partners III |
The Related Companies NYC Separate Account FAQs
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What is The Related Companies NYC Separate Account?
The Related Companies NYC Separate Account is a real estate opportunistic fund managed by The Related Companies.
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Who manages The Related Companies NYC Separate Account?
The Related Companies NYC Separate Account is managed by The Related Companies.
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Where is The Related Companies NYC Separate Account domiciled?
The Related Companies NYC Separate Account is domiciled in United States.
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What is The Related Companies NYC Separate Account's size?
The Related Companies NYC Separate Account has a size of
. -
What type of fund is The Related Companies NYC Separate Account?
The fund type of The Related Companies NYC Separate Account is Real Estate.
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What is the status of The Related Companies NYC Separate Account?
The Related Companies NYC Separate Account is closed.
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