A configuration ontology to include all SEC filing examples.
The ontology version of the SE ...... ted reporting period end date.
The ontology version of the SE ...... nger required to file Form PF.
The ontology version of the SE ...... ng Form PF for the first time.
The ontology version of the SE ...... quaterly to annual reporting.
The ontology version of the SE ...... he quarterly or anual updates.
An ontololgy with example instances of fictitious Vermont hedge funds.
An OWL representation of the Private Fund Form Filing XML schema.
A defined class of the major C ...... be one of the allowed values.
A class defined as the one of the allowed Hedge Fund Asset types.
A listing class with items for month positions.
A defined class for Liquidity ...... ne of the allowed code values.
A defined class for the Liquid ...... be one of the allowed values.
The listing class for Liquidity Fund Position types.
The Filing section for a fund. ...... ve an instance in this class.
A class for the Related Person ...... has an instance in this class.
The main signature section of ...... gniture, and the signing date.
A subclass of the Main Signature with the related person signiture list.
The class is a list of signatures from the filing firm's Related Persons.
Miscellaneous items enable free-form text answers to particular questions.
The Fund Identification type. ...... fund reported in the filing.
The Fund Asset Type class has ...... derivatives, and fair value,
The Fund Performance as per se ...... nth of the fund's fiscal year.
The class defines the struture ...... ns, bonds, ABS, MBS, and CDO.
The class has a list data properties for the asset value and turnover.
The class structure for the Hedge Fund's position. This is aggregated by asset class.
The Hedge Fund's Position has ...... type in the reported quarter.
The Hedge Fund Liquidity class ...... kets, open positions and cash.
The structure for Hedge Fund R ...... , weighting factor and method.
A class to hold a simgle Risk ...... ovides a string data property.
The class for Section 2b Item C - Hedge Fund Risk VAR type.
A class for the list of Hedge Fund Risk Var calculations.
A listing class for Hedge Fund ...... nks to the individual metrics.
The class for a single credito ...... , description and amount owed.
The class defines a Hedge Fund Creditor Type reporting item.
A class connecting from the li ...... l creditor record in the list.
The class for reporting on the ...... month in the reported quarter.
The Hedge Fund Investor inform ...... sulting liquidity percentages.
The class to report the Fund's ...... re rolenamed data properties.
The class for information on t ...... re rolenamed data properties.
The class for the Fund's LIquidity Position.
The class for a single Liquidi ...... Class type and the percentage.
A list class for the Financing Measures.
The fund's investor liquidity ...... drawn within the day-brackets.
The Private Equity Financing C ...... ess and portfolio information.
A class for Private Equity Fin ...... e, drawn and undrawn amounts.
The class for Private Equity F ...... ield for geographical regions.
A list class for the Fund's Private Equity Financing Companies. (portfolio companies)
A list class for the Fund's Private Equity Loans.
The Private Fund XML Filings c ...... he Funds, and various Metrics.