EFTA00597484.pdf
dataset_9 pdf 121.0 KB • Feb 3, 2026 • 5 pages
Valar Global Fund II LP
Unaudited Financial Statements
September 30, 2015
VALAR
VENTURES
EFTA00597484
Valar Global Fund H LP
Statement of Assets, Liabilities, and Partners' Capital
September 30, 2015
Assets
Cash 6,694,562
Investments, at fair value (cost $26,327,017) 26,809,376
Interest receivable 8,919
Total assets $ 33,512,857
Liabilities
Contributions received in advance 5,629,000
Line of credit 8,160,000
Total liabilities 13,789,000
Partners' Capital
Contributions 20,682,510
Net operating loss (1,441,012)
Net unrealized gain 482,359
Total partners capital 19,723,857
Total liabilities and partners' capital $ 33,512,857
EFTA00597485
Valar Global Fund II LP
Statement of Operations
January 6, 2015 through September 30, 2015
Income
Interest income 8,919
Expenses
Management fees 1,165,523
Organizational expenses 147,856
Professional fees 121,826
General and administrative 14,726
Total expenses 1,449,931
Net operating loss 1 441 012)
Net change in unrealized appreciation
in fair value of investments 482,359
Net decrease in partners' capital
resulting from operations $ (958,653)
EFTA00597486
Valar Global Fund II LP
Schedule of Investments
September 30, 2015
Unrealized
Shares Cost Fair Value Gain/(Loss)
Breather Products Inc.
Series B-2 Preferred Shares 2,947,764 $ 8.160.000 $ 8.160.000 $
Carmen, Inc.
Series Seed Preferred Shares 275,660 170,000 170,000
Eye Em Limited
Series B Preferred Shares 566,666 5,750,510 6,040,270 289,760
Granify, Inc.
Series A-3 Preferred Shares 1,215,895 3,782,163 3,782,163 -
IrisVR, Inc.
Series AA Preferred Shares 215,942 170,000 170,000 -
Lystable Industries Ltd
Convertible Note 170,000 170,000
Number26 GmbH
Preferred A Shares 5.314 4,802,996 4,969,459 166,463
Oppa, Ltd.
Convertible Notes 517,368 389,158 (128,210.00)
Trading Ticket, Inc.
Common Stock 329,662 107,780 306,190 198,410
Series Seed Preferred Stock 1,464,255 1,360,000 1,360,000
Vend Limited
Series D Preferred Shares 503,288 1.336.200 1,292,136 (44,064)
Total Investments S 26.327.017 $ 26.809,376 $ 482.359
EFTA00597487
Valar Coln! Fund H LP
Summary of Acquisitions and Dispositions
July 1.2015 through September 30. 2015
Company Date of Investment Company Headquarters Investment Type Cost Basis (USD) Current FMV (USD) Company Description
Trading Ticket. Inc. 07/10/15 New York Series Seed Shares $1.360,000 51.360.000 API for trading financial securities from
any partner site or app
Oppa. Ltd. 07/15/15 Sao Paulo Convertible Note 527.200 520.460 Self-branded furniture and household
goods
Vend Limited 08/12/15 Auckland Series ID Preference Shares 51.336,200 51.292,136 Cloud-based point-of-sale and inventory
management software
Canners. Inc. 08/27/15 Ncw York Series Seed Preferred Shares 534.000 534.000 Generating quality "ground truth" road
and mapping data through roaming
sensors
Breather Products Inc. 09/10/15 Montreal Series B-2 Preferred Shares $8.160,000 $8.160.000 Marketplace for on-demand office space
EFTA00597488
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- 076e74f1-ad6f-4e82-a22c-3827804fc0ef
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- Created
- Feb 3, 2026