Hedge fund profile

Opus Fund International Ltd. - Class E

Opus Fund International Ltd. - Class E is reported as a hedge fund in Form ADV private-fund disclosures. The adviser is Opus Investment Management LLC, based in New York, New York, United States.

$4.0Mgross assets
$250Kminimum
7owners
3(c)(7)exemption

Disclosure fields

Fund facts

SEC private fund ID805-1510049934
Reference ID34828
JurisdictionBermuda
Fund of fundsYes
Master fundNo
Feeder fundNo
Non-US ownership0%
Assets valued100%
Annual auditYes
GAAPYes
Source periodMarch 2026
Date submitted03/31/2026 11:38:23 AM

Adviser

Opus Investment Management LLC

TypeRegistered investment adviser
SEC number801-121988
CRD163262
Regulatory AUM$331.9M

Compliance signals

Exempt from registration Sales limitation not marked No prime broker flag Custodians reported

Service providers

Reported counterparties

General partners

Isaac Fruchthandler (director)James Keyes (director)

Auditors

KPMG, LLP

Custodians

NORTHBROOK BANK & TRUST

Administrators

SS&C (USA) INC.

Marketers

OPUS CAPITAL MANAGEMENT LLC

Same adviser

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