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(1)
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Title of Class of Securities of Cypress Creek Private Strategies Master Fund, L.P. (the “Master Fund”) to be Redeemed:
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Limited partnership interests (the “Interests”).
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(2)
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Date on Which the Securities are to be Redeemed:
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The Interests will be redeemed as of March 31, 2023.
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(3)
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Applicable Provisions of the Governing Instrument Pursuant to Which the Securities are to be Redeemed:
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The Interests are to be redeemed pursuant to Article 4, Section 4.5(d) of the Master Fund’s Amended and Restated Agreement of Limited Partnership.
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The principal amount or number of Interests and the basis upon which the securities to be called or redeemed are to be selected:
The Master Fund is the master fund in a master-feeder structure in which Cypress Creek Private Strategies International Fund, Ltd., a company
limited by shares organized under the laws of the Cayman Islands, is a feeder fund (the “Feeder Fund”).
The Master Fund will repurchase 100% of the Interests owned by the Feeder Fund based on the net asset value of the Interests as of March 31, 2023.
The approximate net asset value of the Interests as of January 31, 2023, was $1,625,909.35, which represented approximately 0.80% of the Master Fund’s total outstanding Interests.
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Cypress Creek Private Strategies Master Fund, L.P.
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By:
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/s/ Benjamin J. Murray
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Name: Benjamin J. Murray
Title: Principal Financial Officer
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