Multiplier Capital, L.P.
Multiplier Capital, L.P.
New Category | LP |
Investment Manager | Multiplier Capital |
Fund Status | |
Archive | No |
Custodian | Multiplier Capital |
Jurisdiction | USA |
T1135 Reporting | Yes Category 6 - Other property outside Canada (If more than 10% Canadian ownership, the LP is obligated to file T1135. If less than 10% Canadian aggregate ownership the investor must file a T1135.) |
Currency | USD |
Tax Slip | K-1 |
Receiver of Tax Receipt |
RFO/Client |
Tax Slips Expected |
April |
Statements Expected |
Quarterly |
Accounting Treatment |
Per K-1. When distributions are received you will decrease the ACB of the investment until the tax information is received at year-end and then reclassify accordingly. Must receive contribution letters which will reflect fees and financial statement |
Tax Memo/ Tax Treatment |
Use entire tax package including K-1 |
US Tax Return Required | No |
Type | Partnership |
Nature of Investment |
Multiplier Capital is an independent growth debt fund actively seeking opportunities to make term loan investments in professionally backed growth companies. Securities offered: Equity and Pooled Investment Fund Interests |
Notes |