Stone Ridge Reinsurance Risk Premium Interval Fund
Sponsored by Stone Ridge. Interval Fund structure focused on insurance-linked securities.
Interval FundInsurance-linked securities
Refugio Research beta
Finding firmer ground in alternative investments.
Sponsored by Stone Ridge. Interval Fund structure focused on insurance-linked securities.
Interval FundInsurance-linked securities
Monthly portfolio report (Form N-PORT) · filed 2026-06-29 · period 2026-04-30
Net assets (N-PORT Part B, Item B.2)
Method Direct: read from a structured filing field
Open the filing on SEC.gov · Full observation history
Semiannual shareholder report (Form N-CSRS) · filed 2026-07-09 · period 2026-04-30
financial-highlights end-of-period NAV (fallback)
“Net asset value, end of year $ 59.18”
Method Matched text template against the filing
Open the filing on SEC.gov · Full observation history
Current findings ordered by severity. Each observation remains traceable to its filed source.
NAV per share fell 6.7% from $63.41 to $59.18 (2026-04-30). (Rule B12: NAV per share drop, severe: >= 5% decline month over month; Urgent.)
A 5%+ single-month NAV decline is a severe markdown for a private-markets vehicle and usually coincides with a portfolio-level credit or valuation problem being recognized.
63.41 -> 59.18 (down 6.7% vs prior period); trailing 4-period average 58.41; same period prior year 52.34; comparison interval: ~6 months (2025-10-31 -> 2026-04-30; this fund's series is observed at that frequency, so 'month over month' rules compare consecutive observations)
Source: https://www.sec.gov/Archives/edgar/data/1581005/000113322826010229/srtll-efp25316_ncsrs.htm | financial-highlights end-of-period NAV (fallback)
NAV per share fell 10.8% from $58.70 to $52.34 (2025-04-30).
NAV per share fell 11.7% from $9.18 to $8.11 (2019-04-30).
NAV per share fell 11.4% from $10.36 to $9.18 (2017-10-31).
NAV per share fell 4.0% from $54.75 to $52.57 (2024-04-30).
Net outflow of 6.9% of NAV in the period ended 2024-02-29.
Net outflow of 5.5% of NAV in the period ended 2023-08-31.
Net outflow of 5.1% of NAV in the period ended 2023-05-31.
Net outflow of 11.7% of NAV in the period ended 2023-02-28.
Net outflow of 9.5% of NAV in the period ended 2022-12-31.
NAV per share fell 2.0% from $38.95 to $38.17 (2022-10-31).
Net outflow of 11.1% of NAV in the period ended 2022-08-31.
Net outflow of 6.9% of NAV in the period ended 2022-05-31.
Net outflow of 22.8% of NAV in the period ended 2022-02-28.
Net outflow of 9.2% of NAV in the period ended 2021-12-31.
NAV per share fell 4.4% from $39.57 to $37.82 (2021-10-31).
Net outflow of 10.9% of NAV in the period ended 2021-08-31.
Net outflow of 9.5% of NAV in the period ended 2021-05-31.
NAV per share fell 3.1% from $40.84 to $39.57 (2021-04-30).
Net outflow of 20.3% of NAV in the period ended 2021-03-31.
Net outflow of 5.9% of NAV in the period ended 2020-11-30.
Net outflow of 11.0% of NAV in the period ended 2020-08-31.
Net outflow of 5.4% of NAV in the period ended 2020-06-30.
NAV per share fell 4.5% from $8.23 to $7.86 (2020-04-30).
NAV per share ($7.86) is 5.8% below its trailing four-observation average ($8.35) as of 2020-04-30.
Net outflow of 24.5% of NAV in the period ended 2020-03-31.
Net outflow of 6.5% of NAV in the period ended 2019-11-30.
NAV per share ($8.23) is 4.8% below its trailing four-observation average ($8.65) as of 2019-10-31.
NAV per share ($8.11) is 8.7% below its trailing four-observation average ($8.88) as of 2019-04-30.
NAV per share ($9.18) is 2.8% below its trailing four-observation average ($9.45) as of 2018-10-31.
NAV per share ($9.07) is 7.7% below its trailing four-observation average ($9.83) as of 2018-04-30.
Net asset value, total return, capital flows, and distribution coverage across the filing record.
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.
The disclosed history shows no rationed period.
No structured redemption history has been captured for this fund.
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.
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: 2.00% of avg daily net assets per year. source. As compensation for its services, the Adviser is paid by the Fund a fee, computed daily and paid monthly in arrears, at an annual rate of 2.00% of the Fund's average daily net assets. Separately, the Fund pays intermediary fees of up to 0.05% under a Distribution and Servicing Plan and up to 0.05% under a Services Agreement (both already reflected in the Fund's own Service fees / Distribution and service fees expense lines, not part of the 2.00% Adviser fee itself).
Filed terms and recent documents remain available without crowding the primary research flow.
| Term | Description | Value | Effective |
|---|---|---|---|
| advisory_fee_schedule | As compensation for its services, the Adviser is paid by the Fund a fee, computed daily and paid monthly in arrears, at an annual rate of 2.00% of the Fund's average daily net assets. Separately, the Fund pays intermediary fees of up to 0.05% under a Distribution and Servicing Plan and up to 0.05% under a Services Agreement (both already reflected in the Fund's own Service fees / Distribution and service fees expense lines, not part of the 2.00% Adviser fee itself). | 2.0 pct_annual_of_avg_daily_net_assets | Date not captured |
| Filed | Form | Accession |
|---|---|---|
| 2026-07-09 | N-CSRS | 0001133228-26-010229 |
| 2026-06-29 | NPORT-P | 0001193125-26-287710 |
| 2026-04-24 | N-23C3A | 0001193125-26-175652 |
| 2026-04-01 | NPORT-P | 0001193125-26-136831 |
| 2026-01-30 | N-23C3A | 0001193125-26-030787 |
| 2026-01-09 | N-CSR | 0001133228-26-000277 |
| 2025-12-30 | NPORT-P | 0001193125-25-336557 |
| 2025-10-24 | N-23C3A | 0001193125-25-249502 |
| 2025-09-26 | NPORT-P | 0001193125-25-220223 |
| 2025-07-25 | N-23C3A | 0001193125-25-165059 |
| 2025-07-03 | N-CSRS | 0001133228-25-007055 |
| 2025-06-27 | NPORT-P | 0001145549-25-043980 |
| 2025-04-25 | N-23C3A | 0001193125-25-095489 |
| 2025-04-01 | NPORT-P | 0001145549-25-023703 |
| 2025-01-31 | N-23C3A | 0001193125-25-017907 |