Cashmere Fund

SCHEDULE OF INVESTMENTS

June 30, 2026 (Unaudited)

 

 

   Principal/Shares   Fair Value 
Convertible Debt in Portfolio Companies - 4.5%          
Consumer Goods and Retail - 1.5%          
Mad Rabbit Tattoo, Inc., 8.00%, due 8/15/261,2   250,000   $250,000 
           
Healthcare - 3.0%          
Cabinet Health P.B.C., 4.55%, due 10/1/261,2   500,000    500,000 
           
Total Convertible Debt in Portfolio Companies (Cost $750,000)        750,000 
           
Equity Investments in Portfolio Companies - 62.2%          
Consumer Goods and Retail - 28.9%          
Beast Industries Series C Preferred Stock1,2,3   6,209    249,974 
Drupely, Inc. dba Graza Series A-3 Preferred Stock1,2,3   210,999    2,030,581 
FEAT Socks, Inc.1,2,3   3,262,472    237,508 
Frances Valentine, LLC1,2,3   8,834    635,317 
IQ Bar, Inc. Series B Preferred Stock1,2,3   41,553    924,281 
Lukla, Inc. dba OROS Series B Preferred Stock1,2,3   412,819    528,648 
Nomadica Series Seed-6 Preferred Stock1,2,3   462,107    276,899 
Total Consumer Goods and Retail        4,883,208 
           
Consumer Technology - 11.0%          
After Services, Inc. Series Seed-7 Preferred Stock1,2,3   24,068    594,762 
After Services, Inc. Series Seed-8 Preferred Stock1,2,3   21,445    529,943 
GO, Inc. Series Seed-1 Preferred Stock1,2,3   400,160    151,965 
Hearth Display, Inc.1,2,3   301,132    328,830 
The Dyrt, Inc. Series C Preferred Stock1,2,3   608,726    274,310 
Total Consumer Technology        1,879,810 
           
Education Technology - 2.1%          
EdInvent, Inc. dba Accredible Series B Preferred Stock1,2,3   79,956    349,684 
           
Financial Technology - 0.6%          
Nada Holdings, Inc. Preferred Stock1,2,3   56,474    107,606 
           
Healthcare - 3.0%          
Pear Suite, Inc. Series A-2 Preferred1,2,3   122,257    506,838 
           
Health Technology - 2.3%          
Time Therapeutics, Inc. Series A-2 Preferred (Hone Health)1,2,3   22,006    396,943 
           
Human Resource Technology - 6.4%          
IsoTalent, Inc. Series Seed-1 Preferred Stock1,2,3   764,292    971,713 
Obra, Inc. Common Stock1,2,3   764,292    126,437 
Total Human Resource Technology        1,098,150 
           
Property Technology - 7.9%          
Cloud Apartments, Inc. Series Seed-1 Preferred Stock1,2,3   208,995    287,500 
Eloit Street, Inc. dba Guest House Series C-2 Preferred Stock1,2,3   2,012,882    314,613 
Havenly, Inc. Series C-1 Preferred Stock1,2,3   63,848    250,048 
True Footage Inc. Series A Prime Preferred Stock1,2,3   38,836    477,026 
Total Property Technology        1,329,187 
           
Total Equity Investments in Portfolio Companies (Cost $6,600,047)        10,551,426 
           
Portfolio Funds - 11.2%          
Private Investment Companies - 11.2%          
Curate Capital Fund I, LP1,3,4        180,123 
Ganas Ventures I, a series of Ganas Ventures, LP1,3,4,5        222,133 
Impressionism Capital Fund I, LP1,3,4        177,611 
Kalshi (HII Kalshi-02, a Series of HII Kalshi-A, LLC)1,2,3        1,103,232 
Stonks Y Combinator Summer 2022 Access Fund, a Series of Stonks Funds, LP - Class A1,3,4,5        194,984 
           
Total Portfolio Funds (Cost $1,347,609)        1,878,083 
           
Simple Agreements for Future Equity in Portfolio Companies - 16.1%          
Consumer Goods and Retail - 3.2%          
De Soi, Inc.1,2,3        240,000 
Hikerkind, Inc.1,2,3        300,000 
Total Consumer Goods and Retail        540,000 
           
Consumer Technology - 0.0%          
The Last Gameboard, Inc.1,2,3        - 
           
Financial Technology - 3.5%          
Line Financial, P.B.C.1,2,3        600,000 
           
Healthcare - 1.8%          
Lazzaro Medical, Inc.1,2,3        300,000 
           
Health Technology - 5.8%          
Grapefruit Health, Inc.1,2,3        131,250 
Parallel Health, Inc.1,2,3        275,000 
Wyndly Health, Inc.1,2,3        575,000 
Total Health Technology        981,250 
           
Logistics Technology - 1.8%          
Shappi, Inc.1,2,3        300,000 
           
Total Simple Agreements for Future Equity in Portfolio Companies (Cost $2,591,440)        2,721,250 
           
Warrants - 0.7%          
Financial Technology - 0.4%          
Acorns Grow, Inc., exercise price $0, expiration date 4/30/321,2,3   18,936    66,276 
           
Property Technology - 0.3%          
Havenly, Inc., exercise price $2.1206, expiration date 2/17/281,2,3   31,924    57,326 
           
Total Warrants (Cost $400,000)        123,602 
           
Short-Term Investments - 3.2%          
Goldman Sachs Financial Square Government Fund - Administration Class, 3.25%6   538,462   $538,462 
Total Short-Term Investments (Cost $538,462)        538,462 
           
Total Investments (Cost $12,227,558) - 97.9%        16,562,823 
Other assets less other liabilities - 2.1%        349,201 
Net Assets - 100.0%       $16,912,024 

 

 

P.B.C. - Public Benefit Corporation

dba - doing business as

LLC - Limited Liability Company

LP - Limited Partnership

 

1Restricted security. The total value of these securities is $16,024,361, which represents 94.7% of Fund net assets. Please refer to Restricted Securities in the Notes to the Schedule of Investments.
2Level 3 securities fair valued using significant unobservable inputs. The total value of these securities is $14,146,278, which represents 83.5% of Fund net assets.
3Non-Income Producing
4Investment valued using net asset value per share (or its equivalent) as a practical expedient.
5Affiliated investment for which ownership exceeds 5% of the investment’s capital.
6Rate disclosed represents the seven day yield as of period end.

 

 

 

 

Cashmere Fund

Notes to the schedule of investments

JUNE 30, 2026 (unaudited)

 

 

 

Restricted Securities

 

Restricted securities include securities that have not been registered under the Securities Act of 1933, as amended, and securities that are subject to restrictions on resale. The Fund may invest in restricted securities that are consistent with the Fund’s investment objectives and investment strategies. Investments in restricted securities are valued at fair value as determined in good faith in accordance with procedures adopted by the Board of Trustees.

 

Additional information on each restricted investment held by the Fund on June 30, 2026 is as follows:

 

Investments  Initial
Acquisition
Date
  Cost   Fair
Value
   %  of
Net Assets
 
Acorns Grow, Inc., Warrants  6/9/2025  $400,000   $66,276    0.4%
After Services, Inc. Series Seed-7 Preferred Stock  6/6/2022   250,000    594,762    3.5%
After Services, Inc. Series Seed-8 Preferred Stock  6/6/2022   250,000    529,943    3.1%
Beast Industries Series C Preferred Stock  4/24/2025   249,974    249,974    1.5%
Cabinet Health P.B.C. Convertible Debt  2/14/2023   500,000    500,000    3.0%
Cloud Apartments, Inc. Series Seed-1 Preferred Stock  5/8/2023   250,000    287,500    1.7%
Curate Capital Fund I, LP  7/1/2022   170,000    180,123    1.1%
De Soi, Inc.  7/18/2024   200,000    240,000    1.4%
Drupely, Inc. dba Graza Series A-3 Preferred Stock  6/17/2022   200,000    2,030,581    12.0%
EdInvent, Inc. dba Accredible Series B Preferred Stock  7/29/2022   250,000    349,684    2.1%
Eloit Street, Inc. dba Guest House Series C-2 Preferred Stock  11/8/2022   300,000    314,613    1.9%
FEAT Socks, Inc.  6/15/2022   250,000    237,508    1.4%
Frances Valentine, LLC  11/18/2022   500,000    635,317    3.8%
Ganas Ventures I, a series of Ganas Ventures, LP  7/1/2022   250,000    222,133    1.3%
GO, Inc. Series Seed-1 Preferred Stock  11/18/2022   500,000    151,965    0.9%
Grapefruit Health, Inc.  5/2/2023   125,000    131,250    0.8%
Havenly, Inc. Warrants  2/10/2023   -    57,326    0.3%
Havenly, Inc. Series C-1 Preferred Stock  2/10/2023   249,997    250,048    1.5%
Hearth Display, Inc.  1/6/2023   250,000    328,830    1.9%
Hikerkind, Inc.  8/10/2023   250,000    300,000    1.8%
Impressionism Capital Fund I, L.P.  4/20/2023   200,000    177,611    1.1%
IQ Bar, Inc. Series B Preferred Stock  8/12/2022   250,000    924,281    5.5%
IsoTalent, Inc. Series Seed-1 Preferred Stock  7/8/2022   1,000,000    971,713    5.7%
Kalshi (HII Kalshi-02, a Series of HII Kalshi-A, LLC)  2/2/2026   577,609    1,103,232    6.5%
Lazzaro Medical, Inc.  7/1/2022   250,000    300,000    1.8%
Line Financial, P.B.C  8/17/2023   500,000    600,000    3.5%
Lukla, Inc. dba OROS Series B Preferred Stock  12/14/2023   500,000    528,648    3.1%
Mad Rabbit Tattoo, Inc. Convertible Debt  8/15/2024   250,000    250,000    1.5%
Nada Holdings, Inc. Preferred Stock  6/17/2022   100,000    107,606    0.6%
Nomadica Series Seed-6 Preferred Stock  7/1/2022   250,000    276,899    1.6%
Obra, Inc. Common Stock  7/8/2022   76    126,437    0.7%
Parallel Health, Inc.  6/28/2022   250,000    275,000    1.6%
Pear Suite, Inc. Series A-2 Preferred  11/14/2022   250,000    506,838    3.0%
Shappi, Inc.  9/16/2022   250,000    300,000    1.8%
Stonks Y Combinator Summer 2022 Access Fund, a Series of Stonks Funds, LP - Class A  9/16/2022   150,000    194,984    1.2%
The Dyrt, Inc. Series C Preferred Stock  12/11/2023   250,000    274,310    1.6%
The Last Gameboard, Inc.  12/9/2022   266,440    -    0.0%
Time Therapeutics, Inc. Series A-2 Preferred (Hone Health)  5/25/2023   250,000    396,943    2.3%
True Footage Inc. Series A Prime Preferred Stock  7/29/2022   250,000    477,026    2.8%
Wyndly Health, Inc.  9/13/2022   500,000    575,000    3.4%
      $11,689,096   $16,024,361    94.7%