Hedge fund profile

Goldentree Structured Products Opportunities Master Fund 2013, Ltd.

Goldentree Structured Products Opportunities Master Fund 2013, Ltd. is reported as a hedge fund in Form ADV private-fund disclosures. The adviser is Goldentree Asset Management LP, based in New York, New York, United States.

$1.7Mgross assets
$1.0Mminimum
47owners
3(c)(7)exemption

Disclosure fields

Fund facts

SEC private fund ID805-4503551325
Reference ID57218
JurisdictionCayman Islands
Fund of fundsNo
Master fundYes
Feeder fundNo
Non-US ownership16%
Assets valued99%
Annual auditYes
GAAPYes
Source periodApril 2026
Date submitted04/28/2026 02:47:13 PM

Adviser

Goldentree Asset Management LP

TypeRegistered investment adviser
SEC number801-58286
CRD112753
Regulatory AUM$70.1B

Compliance signals

Exempt from registration Sales limitation not marked Prime brokers reported Custodians reported

Service providers

Reported counterparties

General partners

Scott Lennon, Lisa Volekaert, Chad Earnst

Auditors

ERNST & YOUNG LLP

Prime brokers

J.P. MORGAN SECURITIES LLC.

Custodians

JPMORGAN CHASE BANK, N.A.

Administrators

STATE STREET ALTERNATIVE INVESTMENT SOLUTIONS OF INTERNATIONAL FUND SERVICES (IRELAND) LIMITED

Marketers

AGC EQUITY PARTNERS INVESTMENT MANAGEMENT

Same adviser

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