Instuitional Investor - Castle Creek Capital Partners Vi, Lp

Fund Profile
Filing Period:
Fund Name: Castle Creek Capital Partners Vi, Lp
Portfolio Value $143,982,834
Fund Holdings Sector Distribution
Filing Period:
No. Security Ticker Shares Value % Port
1. TBBK 1,664,176 $64,170,627 44.56%
2.
Bank Of Southern California
2,340,719 $40,611,475 28.2%
3. MBCN 560,500 $18,143,385 12.6%
4. PB 211,800 $14,345,214 9.96%
5. MPB 276,447 $6,712,133 4.66%