TY 2020 InvestmentsCorpStockSchedule
Name:
John D and Catherine T MacArthur Foundation (Consolidated)
EIN:
23-7093598
Software ID:
20011424
Software Version:
2020v4.0
Name of Stock End of Year Book Value End of Year Fair Market Value
ADR BURNING ROCK BIOTECH LTD SPONSORED ADS 113,883 113,883
ADR DADA NEXUS LTD ADS 752,156 752,156
ADR DOUYU INTL HLDGS LTD SPONSORED ADR RESPSTG ORD SHS 209,510 209,510
ADYEN NV EUR0.01 391,585 391,585
ANAPTYSBIO INC COM 264,558 264,558
AQR Absolute Return Offshore Fund 35,366,217 35,366,217
Avidity Capital Fund LP 51,029,767 51,029,767
BIL LTD 98,533,843 98,533,843
Blackstone Distressed Securities Offshore Fund Ltd. 24,287 24,287
Bridgewater Pure Alpha Fund II, Ltd. 44,417,713 44,417,713
Capeview Strategic Fund 54,224,024 54,224,024
Capstone Vol. Offshore, Ltd. 74,798,588 74,798,588
ChapelGate Credit Opportunity Fund Limited 61,488,614 61,488,614
Citadel Kensington Global Strat Fund Ltd. 106,668,979 106,668,979
Clearance RE Equity Fund 50,134,028 50,134,028
CLOUDERA INC COM 549,125 549,125
CROWDSTRIKE HLDGS INC CL A CL A 1,493,966 1,493,966
DATADOG INC COM USD0.00001 CL A 2,431,370 2,431,370
ECP OPPORTUNITY FUND II LLC 19,831,638 19,831,638
ELASTIC N V COM USD0.01 965,627 965,627
Element Capital Feeder Fund Limited 107,746,698 107,746,698
Encompass Capital Fund Offshore Ltd. 70,926,191 70,926,191
ExodusPoint Partners Fund, LP 39,078,421 39,078,421
Field Street Offshore Fund, LTD. 64,444,499 64,444,499
FIVERR INTERNATIONAL LTD COM 758,744 758,744
Gaoling Feeder, Ltd. 214,888,724 214,888,724
GoldenTree Credit Opportunities, Ltd. 1,678,998 1,678,998
Graticule Asia Macro Fund Ltd. 531,200 531,200
GUARDANT HEALTH INC COM 1,038,902 1,038,902
Holocene Advisors Offshore Fund Ltd. 88,406,591 88,406,591
Hutensky Capital REIT I, LP 623,962 623,962
Infinity Q Volatility Alpha Fund, Ltd. 26,123,026 26,123,026
Kintbury Equity Fund 29,585,948 29,585,948
Kuvari Focus Fund Limited 68,419,704 68,419,704
Liberty Harbor Natural Resources Fund Offshore, L.P. 6,599 6,599
MF INVESTMENT APPRECIATION, LTD. 51,270,257 51,270,257
Millennium International, Ltd. 235,366,313 235,366,313
MONGODB INC CL A CL A 1,249,818 1,249,818
Napier Park European Credit Global Feeder Ltd 55,594,474 55,594,474
NATERA INC COM 423,060 423,060
OI SA PRF NPV 50 50
OKTA INC CL A CL A 2,366,906 2,366,906
Orchard Landmark Limited 42,224,039 42,224,039
OZ Overseas Fund, Ltd. 11,004 11,004
PAGERDUTY INC COM 187,483 187,483
PINTEREST INC CL A CL A 1,999,274 1,999,274
Polymer Asia (Cayman) Fund Ltd. 52,513,596 52,513,596
Radcliffe International Ultra Short Duration Fund 114,133,647 114,133,647
Sand Grove Opportunities Fund Ltd 60,892,500 60,892,500
Schonfeld Fundamental Equity Offshore Fund Ltd. 94,447,811 94,447,811
Schonfeld Strategic Partners Equity Offshore Fund Ltd. 46,886,794 46,886,794
SECURE PROPERTY DEVELOPMENT & INVESTMENTLTD (AISI) 48,157 48,157
Selwood AM Credit Fund Limited 85,859,165 85,859,165
Sequoia Heritage (SCHF USTE, L.P.) 276,554,469 276,554,469
SGAM/4D Global Energy Develop. Capital Fd II PLC 634,357 634,357
Ski Time Square Limited 52,649,734 52,649,734
SONOS INC COM 1,480,353 1,480,353
SQUARE INC CL A CL A 253,768 253,768
The Children's Investment Fund 114,292,361 114,292,361
THS Kingsway- Frontier 772,576 772,576
Topwater Partners Fund 972,886 972,886
Tor Asia Credit Fund 42,186,937 42,186,937
TRUPANION INC COM 1,310,944 1,310,944
TWILIO INC CL A CL A 2,105,470 2,105,470
Twin Tree Capital Offshore Partners, L.P. 66,608,570 66,608,570
Two Sigma Absolute Return Enhanced Cayman Fund, Ltd. 97,549,942 97,549,942
Two Sigma Risk Premium Enhanced, Ltd. 30,469,439 30,469,439
Two Sigma Spectrum Cayman Fund, Ltd. 89,861,426 89,861,426
Varadero International, Ltd. 31,516,331 31,516,331
VR Global Offshore Fund Ltd. 47,299,382 47,299,382
Waterfront CP Offshore 68,119,794 68,119,794
ZOOM VIDEO COMMUNICATIONS INC CL A CL A 4,355,476 4,355,476
ZP Offshore Energy Fund Ltd. 1,049,519 1,049,519
ZP Offshore Utility Fund Ltd. 37,164,872 37,164,872
BOY AMOUNT - INVESTMENTS - CORPORATE STOCK 0 0