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The Private Shares Fund

Sponsored by Liberty Street/Private Shares. Interval Fund structure focused on private equity.

Interval FundPrivate Equity

Sponsor
Liberty Street/Private Shares
CIK
0001557265
Liquidity
Periodic repurchase offers at NAV
Inception
2014
Net assets
$1.16B
source

Monthly portfolio report (Form N-PORT) · filed 2026-05-27 · period 2026-03-31

Net assets (N-PORT Part B, Item B.2)

Method Direct: read from a structured filing field

Technical locator

NPORT-P netAssets | https://www.sec.gov/Archives/edgar/data/1557265/000119312526241036/xslFormNPORT-P_X01/primary_doc.xml

as of 2026-03-31
NAV / share
$47.30
source

Shareholder report (Form N-CSR) · filed 2026-03-09 · period 2025-12-31

financial-highlights end-of-period NAV (fallback)

“Net asset value, end of year $ 47.30”

Method Matched text template against the filing

Technical locator

https://www.sec.gov/Archives/edgar/data/1557265/000121390026025198/ea0273363-01_ncsr.htm | financial-highlights end-of-period NAV (fallback)

Canonical (canonical class) · 2025-12-31
Net flows, last qtr
+4.2%
qtr ended 2026-03-31
Leverage in use
0%
unlevered
Total return, 12m
+12.0%
computed from NAV + distributions
01 / Signals

What changed in the latest filings.

Current findings ordered by severity. Each observation remains traceable to its filed source.

No current Urgent or Notify findings in filings reviewed through 2026-07-02.

Historical findings (8)

NAV per share fell 5.1% from $39.93 to $37.91 (2023-12-31).
NAV per share fell 5.1% from $39.93 to $37.91 (2023-12-31). (Rule B12: NAV per share drop, severe: >= 5% decline month over month; Urgent.)

NAV per share ($39.51) is 0.4% below its trailing four-observation average ($39.68) as of 2024-06-30.
NAV per share ($39.51) is 0.4% below its trailing four-observation average ($39.68) as of 2024-06-30. (Rule C23: Sustained NAV decline: NAV per share >= 2% below its trailing 4-observation average; Notify.)

NAV per share ($37.91) is 6.6% below its trailing four-observation average ($40.59) as of 2023-12-31.
NAV per share ($37.91) is 6.6% below its trailing four-observation average ($40.59) as of 2023-12-31. (Rule C23: Sustained NAV decline: NAV per share >= 2% below its trailing 4-observation average; Notify.)

NAV per share fell 3.5% from $41.37 to $39.93 (2023-06-30).
NAV per share fell 3.5% from $41.37 to $39.93 (2023-06-30). (Rule B11: NAV per share drop >= 2% decline month over month; Notify.)

NAV per share fell 4.2% from $43.17 to $41.37 (2022-12-31).
NAV per share fell 4.2% from $43.17 to $41.37 (2022-12-31). (Rule B11: NAV per share drop >= 2% decline month over month; Notify.)

NAV per share fell 2.9% from $43.03 to $41.77 (2021-12-31).
NAV per share fell 2.9% from $43.03 to $41.77 (2021-12-31). (Rule B11: NAV per share drop >= 2% decline month over month; Notify.)

NAV per share fell 4.4% from $26.83 to $25.66 (2017-06-30).
NAV per share fell 4.4% from $26.83 to $25.66 (2017-06-30). (Rule B11: NAV per share drop >= 2% decline month over month; Notify.)

NAV per share fell 2.9% from $26.25 to $25.48 (2015-12-31).
NAV per share fell 2.9% from $26.25 to $25.48 (2015-12-31). (Rule B11: NAV per share drop >= 2% decline month over month; Notify.)

03 / Portfolio

What moved inside the book.

Filed portfolio-health facts and position changes. Missing disclosures stay visibly missing.

No structured portfolio-health series or position-change events have been captured for this fund.

04 / Redemptions

Where exit demand met the cap.

The disclosed history shows no rationed period.

No structured redemption history has been captured for this fund.

05 / Financing

How the balance sheet is funded.

Borrowings, unused capacity, and synthetic exposure are separated so unlike risks do not collapse into one ratio.

No structured financing components have been captured for this fund.

06 / Share classes

How the offering is divided.

A filed share-class breakdown and terms-based role descriptions. This is not an estimate of who owns the fund.

No filed share-class terms have been captured for this fund; ownership type is therefore not inferred.

Management fee: 1.90% of avg daily net assets per year. source. The Fund has entered into an Investment Advisory Agreement with the Investment Adviser (Liberty Street Advisors, Inc.), pursuant to which the Investment Adviser provides general investment advisory services for the Fund. For providing these services, the Investment Adviser receives a fee from the Fund, accrued daily and paid monthly in arrears, at an annual rate equal to 1.90% of the Fund's average daily net assets. Effective May 1, 2023, the Investment Adviser contractually agreed to waive management fees and/or reimburse the Fund for expenses, subject to certain exclusions, to the extent necessary to maintain the Fund's total annual operating expenses after fee waivers/reimbursement at specified per-class caps (2.65%/2.40%/2.90% depending on share class), subject to a 3-year recoupment right.

07 / Sources

The evidence beneath the page.

Filed terms and recent documents remain available without crowding the primary research flow.

Term register (1)
TermDescriptionValueEffective
advisory_fee_scheduleThe Fund has entered into an Investment Advisory Agreement with the Investment Adviser (Liberty Street Advisors, Inc.), pursuant to which the Investment Adviser provides general investment advisory services for the Fund. For providing these services, the Investment Adviser receives a fee from the Fund, accrued daily and paid monthly in arrears, at an annual rate equal to 1.90% of the Fund's average daily net assets. Effective May 1, 2023, the Investment Adviser contractually agreed to waive management fees and/or reimburse the Fund for expenses, subject to certain exclusions, to the extent necessary to maintain the Fund's total annual operating expenses after fee waivers/reimbursement at specified per-class caps (2.65%/2.40%/2.90% depending on share class), subject to a 3-year recoupment right.1.9 pct_annual_of_avg_daily_net_assetsDate not captured
Recent filings
FiledFormAccession
2026-05-27NPORT-P0001193125-26-241036
2026-05-26N-23C3A0001213900-26-060838
2026-03-09N-CSR0001213900-26-025198
2026-03-02NPORT-P0000926877-26-000030
2026-02-24N-23C3A0001213900-26-019672
2025-11-25N-23C3A0001213900-25-114455
2025-11-20NPORT-P0001193125-25-289155
2025-09-09N-CSRS0001213900-25-085689
2025-08-26N-23C3A0001213900-25-080579
2025-08-25NPORT-P0001145549-25-053272
2025-05-27NPORT-P0001145549-25-032340
2025-05-27N-23C3A0001213900-25-047688
2025-03-10N-CSR0001213900-25-022143
2025-02-25NPORT-P0001145549-25-009703
2025-02-25N-23C3A0001213900-25-016932