CYPRESS CREEK PRIVATE STRATEGIES MASTER FUND, L.P.

Schedule of Investments

June 30, 2026

(Unaudited)

 

   Geographic
Region*
  Initial Investment
Date
  Shares   Cost   Fair
Value
   % of
Partners’
Capital
 
Private Investment Portfolio                      
Operating Companies                      
Buyout                      
Clovis Point II RIVS Investment, LLC (4)(6)  NAM  2017            $650,000   $-         
Milton ZXP LLC - Class A Units (4)(6)  NAM  2018   6,029    -    194,797      
Infrastructure                          
Loblolly Midstream Holdings LLC (3)(4)  NAM  2026        241,934    241,934      
Natural Resources                          
Revenant Energy Holdings LLC (2)(4)  NAM  2025        5,140,627    5,140,627      
                           
Total Operating Companies              6,032,561    5,577,358    2.08%
                           
Private Investment Funds                          
Private Debt                          
Private Debt                          
Aviator Capital Fund IV US Feeder, L.P.  GL  2018        956,166    1,675,833      
Aviator Capital Mid-Life US Feeder Fund, LP  GL  2016        656,941    960,420      
BDCM Opportunity Fund II, L.P.  NAM  2006        502,075    102,680      
Colbeck Strategic Lending Onshore Feeder, LP (1)(2)  NAM  2016        2,874,783    2,724,017      
Crestline Opportunities Fund III, LLC  NAM  2016        1,046,888    1,361,119      
Parabellum Partners II, LP  NAM  2019        1,534,482    2,864,952      
Tuckerbrook SB Global Distressed Fund I, L.P.  GL  2006        102,897    190,980      
                           
Total Private Debt  (6)              7,674,232    9,880,001    3.68%
                           
Private Equity                          
Buyout                          
Advent Latin American Private Equity Fund IV-F L.P.  ROW  2007        201,046    81,114      
Advent Latin American Private Equity Fund V-F L.P. (1)  ROW  2010        1,019,920    416,954      
Chicago Pacific Founders Fund II, LP  NAM  2019        4,888,811    14,323,431      
Clovis Point II, LP  NAM  2018        2,333,799    1,099,601      
CRC (Atria) Investment Holdings, L.P. (3)  NAM  2022        9,214,404    10,708,887      
CRC (Cresso) Investment Holdings, L.P. (2)  NAM  2024        5,000,000    11,830,612      
Darwin Private Equity I L.P.  EU  2007        1,251,657    20,867      
Energy Ventures IV LP (1)  GL  2024        -    1,156,519      
J.C. Flowers III L.P.  EU  2009        1,128,504    177,515      
KF Partner Investments Fund III LP  NAM  2019        1,764,625    2,336,400      
Monomoy Capital Partners II, L.P. (1)  NAM  2011        973,106    24,114      
Monomoy Capital Partners III, L.P. (1)  NAM  2016        737,664    1,340,932      
Reservoir Capital Partners (Cayman), L.P.  GL  2006        -    55,957      
Strattam Capital Investment Fund, L.P.  NAM  2014        2,210,872    1,971,495      
Strattam Capital Investment Fund II, L.P.  NAM  2017        2,602,312    4,278,295      
Strattam Capital Investment Fund III, L.P. (2)  NAM  2021        15,288,177    14,727,674      
Strattam Co-Invest Fund V, L.P.  NAM  2018        -    749,537      
Strattam Co-Invest Fund VI, L.P.(2)  NAM  2018        785,329    665,341      
Strattam Co-Invest Fund VII, L.P.  NAM  2019        413,727    990,098      
Strattam Co-Invest Fund IX, L.P. (3)  NAM  2023        7,449,113    12,897,260      
Strattam Co-Invest Fund XI, L.P. (3)  NAM  2024        3,606,339    1,721,204      
Viburnum Equity 4, LP (2)  ROW  2019        2,297,757    5,914,129      

 

 

 

 

Viburnum Private III, LP (2)  ROW  2025        4,795,251    4,758,567      
Growth Equity                          
Crosslink Crossover Fund V, L.P.  NAM  2007        291,519    110,576      
Crosslink Crossover Fund VI, L.P.  NAM  2011        -    1,034,487      
Gavea Investment Fund III A, L.P.  ROW  2008        -    29,993      
HealthCor Partners Fund, L.P.  NAM  2007        275,033    549,780      
LoneTree BLN Co-Invest L.P. (3)  NAM  2026        5,043,200    5,043,200      
LoneTree I, L.P. (2)  NAM  2023        20,128,009    23,406,528      
Northstar Equity Partners III  AS  2011        316,769    799      
Orchid Asia IV, L.P.  AS  2007        876,700    12,537      
Trustbridge Partners II, L.P. (1)  AS  2007        980,928    463,513      
Trustbridge Partners III, L.P. (1)  AS  2008        2,896,075    1,752,006      
Trustbridge Partners IV, L.P. (1)  AS  2011        -    2,449,878      
Trustbridge Partners V, L.P.  AS  2014        4,091,541    2,463,853      
Secondaries                          
Private Equity Investment Fund V, L.P.  NAM  2009        5,677,931    2,978,887      
Venture Capital                          
Artis Ventures II, L.P.  NAM  2013        1,085,752    2,519,864      
Chrysalis Ventures III, L.P.  NAM  2006        196,648    11,230      
Dace Ventures I, LP  NAM  2007        331,414    78,340      
Fairhaven Capital Partners, L.P.  NAM  2007        1,564,207    180,028      
Sanderling Venture Partners VI Co-Investment Fund, L.P.  NAM  2004        205,988    46,373      
Tenaya Capital V, LP  NAM  2007        24,309    73,812      
Tenaya Capital VI, LP  NAM  2012        711,491    728,383      
The Column Group, LP  NAM  2007        971,977    520,913      
The Column Group II, LP (1)  NAM  2014        1,315,379    2,642,741      
The Column Group III, LP  NAM  2016        3,402,596    2,041,987      
Tiger Global Private Investment Partners V, L.P.  AS  2008        1,268,728    869,958      
Tiger Global Private Investment Partners VI, L.P.  AS  2010        1,570    182,608      
Voyager Capital Fund III, L.P.  NAM  2006        286,772    26,813      
                           
Total Private Equity (6)              119,906,949    142,465,590    53.10%
                           
Real Assets                          
Infrastructure                          
Allied Strategic Partners Fund I-A, LP (1)(3)  NAM  2021        12,709,747    18,534,403      
EIV Capital Fund II, LP (1)  NAM  2014        2,092,761    1,629,516      
Founders Fund III, LP  NAM  2010        -    8,071,167      
Founders Fund IV, LP  NAM  2012        -    7,217,875      
Haddington Energy Partners III, L.P.  NAM  2005        -    55,740      
YTM6, LLC (2)  NAM  2022        5,955,907    12,374,415      
Natural Resources                          
EMG Iron Ore Holdco, LP  NAM  2019        476,106    598,920      
Energy & Minerals Group Fund II, L.P. (1)  NAM  2011        1,763,355    904,303      
Live Oak III-B SPV (3)  NAM  2025        4,560,219    5,530,727      
NGP Midstream & Resources, L.P. (1)  ROW  2007        972,868    32,930      
Pine Brook Capital Partners, L.P. (1)  NAM  2007        1,723,910    138,062      
Quantum Parallel Partners V, LP  NAM  2008        2,805,960    621,038      
Tembo Capital Co-Investment Partners I, LP (3)  ROW  2022        7,459,699    8,043,408      
Tembo Capital Mining Fund III LP (1)  GL  2020        -    7,171,513      
Tembo Capital Mining Fund IV LP (1)  GL  2025        1,215,091    1,033,626      
Vortus Investments II, LP (1)  NAM  2017        -    904,702      
Vortus Investments, LP  NAM  2014        2,838,325    578,985      

 

 

 

 

Real Estate                          
Benson Elliot Real Estate Partners II, L.P.  EU  2006        349,758    5,771      
Forum European Realty Income III, L.P.  EU  2007        820,961    33,845      
GTIS Brazil Real Estate Fund (Brazilian Real) LP  ROW  2008        1,118,776    330,682      
Monsoon Infrastructure & Realty Co-Invest, L.P.  AS  2008        816,081    45,838      
Patron Capital, L.P. II  EU  2005        123,803    1,191      
Patron Capital, L.P. III  EU  2007        598,435    25,068      
Pennybacker IV, LP  NAM  2016        1,252,725    534,280      
Phoenix Asia Real Estate Investments II, L.P.  AS  2006        823,410    341,017      
Prescott Strategies Fund I LP(2)  NAM  2017        1,834,745    1,001,835      
PSF I Jax Metro Holdings, LLC (2)  NAM  2019        12,260    -      
                           
Total Real Assets (6)              52,324,902    75,760,857    28.24%
                           
Total Private Investment Funds (6)              179,906,083    228,106,448    85.02%
                           
Total Private Investments Portfolio              185,938,644    233,683,806    87.10%
Anchor Partner Interests                          
Anchor Partner Interests                          
Allied Strategic Partners Management, LP(4)              -    1,348,569      
LoneTree Capital, LLC(4)              -    4,822,691      
                           
Total Anchor Partner Interests              -    6,171,260    2.30%
                           
Cash Management Portfolio                          
Hedge Funds                          
Event Driven                          
BDCM Partners I, L.P.  NAM  2019        1,364,735    622,843      
Growth Equity                          
Gavea Investment Fund II Ltd.  ROW  2007   19    1,462    1,463      
Relative Value                          
King Street Capital, L.P.  NAM  2019        -    30,076      
Magnetar Capital Fund LP  NAM  2020        -    50,225      
Stark Select Asset Fund, LLC  ROW  2018        -    26,608      
The 1609 Fund Ltd.  NAM  2019   2,052    3,391,838    1,052,414      
Valiant Capital Partners LP  NAM  2019        214,175    73,771      
                           
Total Hedge Funds (6)              4,972,210    1,857,400    0.69%

 

 

 

 

Other Securities                          
Securities                          
Regatta XV Funding Ltd., Subordinated Note, Principal $5,000,000, 10.66%, due 10/1/2031 (1)(5)(7)  NAM  2019        3,118,300    132,441      
SED Energy Holdings  EU  2024   9,264,336    6,777,847    7,210,648      
                           
Total Other Liquid Securities              9,896,147    7,343,089    2.74%
                           
                           
Total Cash Management Portfolio              14,868,357    9,200,489    3.43%
                           
Total Investments              200,807,001    249,055,555    92.83%
                           
Cash and Cash Equivalents                          
Goldman Sachs Financial Square Government Fund - Institutional Class, 3.53%(8)         19,324,402    19,324,402    19,324,402      
                           
Total Cash and Cash Equivalents              19,324,402    19,324,402    7.20%
                           
Total Investments and Cash Equivalents             $220,131,403   $268,379,957    100.03%

 

The Master Fund’s total outstanding capital commitments to Investment Funds as of June 30, 2026 were $73,233,505.

 

All investments are non-income producing unless noted otherwise.

 

 

*The Geographic Regions are abbreviated as follows: Asia (AS), Europe (EU), North America (NAM), Global (GL), and Rest of World (ROW). The “Rest of World” geographic region represents an investment strategy to make investments domiciled outside of Asia, Europe or North America. The “Global” geographic region represents an investment strategy to make investments domiciled in various locations throughout the world including Asia, Europe, North America and/or the rest of the world.

 

Refer to the Allocation of Investments in the unaudited section of the financial statements for the percent of Partners' Capital by Asset Class.

 

(1)Income producing investment.
(2)Affiliated investments for which ownership exceeds 5% of the investment's capital.
(3)Affiliated investments for which ownership exceeds 25% of the investment's capital.
(4)Valued using significant unobservable inputs pursuant to procedures approved by the Board of Directors as of June 30, 2026. The total of all such investments represents 4.38% of partners' capital.
(5)CLO subordinated notes are considered CLO equity positions. CLO equity positions are entitled to recurring distributions which are generally equal to the remaining cash flow of payments made by underlying securities less contractual payments to debt holders and fund expenses. The effective yield for the CLO equity position will generally be updated periodically or on transactions such as an add-on purchases, refinancing or reset. The estimated yield and investment cost may ultimately not be realized.
(6)Restricted investments as to resale.
(7)Security exempt from registration under Rule 144A of the Securities Act of 1933. The Security may be sold in transactions exempt from registration, normally to qualified institutional buyers.
(8)Rate disclosed represents the seven day yield as of period end.