/Morgan Stanley Private Markets & Alternatives Fund-Balanced
Morgan Stanley Private Markets & Alternatives Fund-Balanced
Active2026-09-17
Tender-offer fund · adviser iCapital Fund Advisors LLC
CIK2061233
FormN-2
StateDE
Assets
$1.2B
average net assets, N-CEN · 2026-06-30
Registered
2025-04-07
N-2
Repurchase offers
0
N-23C3A · none on file
Tender offers
3
SC TO-I · latest 2026-08-14
Facts
A closed-end fund that buys shares back when its board decides to, through issuer tender offers filed on Schedule TO-I; it is not listed, so that is a holder's way out.
Kind
Tender-offer fund
Status
Active
Trading
Not listed on an exchange
Adviser
iCapital Fund Advisors LLC
Registered
2025-04-07 · N-2
Incorporated in
Delaware (DE)
First filing
2025-04-07
Latest filing
2026-09-17
Repurchase cadence
Quarterly
Latest repurchase offer
—
Latest tender offer
2026-08-14
NAV per share, the fee table, and what each of its 3 offers statedSee plans
The terms behind Morgan Stanley Private Markets & Alternatives Fund-Balanced
A non-traded vehicle's filings state how big it is and how often it offers to buy shares back. The dashboard adds what each offer stated and what the vehicle charges, each figure linked to its filing.
NAV per share, as the latest repurchase notice, N-CEN or XBRL financials state it
Management, incentive and total expense fees, and any sales load, from the fee table
Every repurchase offer: the share offered, the request deadline, the pricing date and the NAV it stated
The key filings — registration, BDC election, listing, deregistration — and the full filing list
Part of the All plan — $200/mo at launch pricing ($500 list)