AETOS CAPITAL LONG/SHORT STRATEGIES FUND LLC·4

Apr 19, 8:00 AM ET

AETOS CAPITAL LONG/SHORT STRATEGIES FUND LLC 4

4 · AETOS CAPITAL LONG/SHORT STRATEGIES FUND LLC · Filed Apr 19, 2016

Insider Transaction Report

Form 4
Period: 2003-02-01
Transactions
  • Sale

    Limited Liability Company Interests

    2003-02-01$100000.00/sh0$097,344.21 total
  • Purchase

    Limited Liability Company Interests

    2005-03-01$108000.00/sh+0$0356,595.04 total
  • Purchase

    Limited Liability Company Interests

    2008-11-01$24600.00/sh+0$0564,581.65 total
  • Purchase

    Limited Liability Company Interests

    2011-01-01$108092.21/sh+0$0676,491.07 total
  • Sale

    Limited Liability Company Interests

    2012-05-01$119300.00/sh0$0479,646.79 total
  • Purchase

    Limited Liability Company Interests

    2004-02-01$123000.00/sh+0$0236,059.39 total
  • Purchase

    Limited Liability Company Interests

    2008-06-01$148490.00/sh+0$0623,171.81 total
  • Sale

    Limited Liability Company Interests

    2012-04-01$78900.00/sh0$0605,263.59 total
Footnotes (9)
  • [F1]The LLC Interests are not unitized
  • [F2]Amount of securities beneficially owned following the reported transaction is based on 12/31/2002 Net Asset Value (NAV), the most recent NAV available.
  • [F3]Amount of securities beneficially owned following the reported transaction is based on 12/31/2003 Net Asset Value (NAV), the most recent NAV available.
  • [F4]Amount of securities beneficially owned following the reported transaction is based on 1/31/2005 Net Asset Value (NAV), the most recent NAV available.
  • [F5]Amount of securities beneficially owned following the reported transaction is based on 4/30/2008 Net Asset Value (NAV), the most recent NAV available.
  • [F6]Amount of securities beneficially owned following the reported transaction is based on 9/30/2008 Net Asset Value (NAV), the most recent NAV available.
  • [F7]Amount of securities beneficially owned following the reported transaction is based on 11/30/2010 Net Asset Value (NAV), the most recent NAV available.
  • [F8]Amount of securities beneficially owned following the reported transaction is based on 2/29/2012 Net Asset Value (NAV), the most recent NAV available.
  • [F9]Amount of securities beneficially owned following the reported transaction is based on 3/31/2012 Net Asset Value (NAV), the most recent NAV available.

Documents

1 file
  • 4
    doc1.xmlPrimary

    FORM 4