Net Assets
$1.9B
NAV Growth YoY
+1%
Most Recent Return
−8.71%
Formation
2014
Portfolio Composition
Investment Type
Secondary
88.40%Early Secondaries
5.80%Primary
4.10%Co-Investment
1.70%Geography
North America
76.00%Europe
23.00%Rest of World
1.00%Strategy
Buyout
85.70%Private Infrastructure and Mezzanine
8.00%Growth Capital and Venture Capital
5.40%Other
0.90%Portfolio composition data sourced from regulatory filings.
Sekond Liquidity Risk Profile
Real-time liquidity intelligence powered by regulatory filings and proprietary analysis.
Current Repurchase Window
StatusOPEN
Cap5.0%
Redemption Waterfall
StatusOPEN
Cap5.0%
Third Party Offers
StatusOPEN
Cap5.0%
Liquidity Runway — Stressed Scenarios
StatusOPEN
Cap5.0%
Liquidity Composition
StatusOPEN
Cap5.0%
Redemption Context
StatusOPEN
Cap5.0%
Summary Metrics
Liquidity RiskB+
Runway
5Q
Fill Rate
92%
Fee Impact
1.45%
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About This Fund
The Pomona Investment Fund is a '40 Act registered non-diversified closed-end investment company managed by Pomona Management. It focuses primarily on secondary and early secondary investments in private equity funds, with limited allocations to primary investments and direct investments. The fund emphasizes North American buyout strategies while also investing in Europe and other regions.
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