The Pomona Investment Fund is a Delaware statutory trust organized in 2014 and registered under the Investment Company Act of 1940 as a non-diversified, closed-end management investment company. Managed by Pomona Management LLC, the fund seeks long-term capital appreciation primarily through private equity investments, including secondary and primary investments in private equity and other asset funds, as well as direct investments in operating companies. The fund focuses on co-investments, seasoned primary investments, and secondary investments acquired in privately negotiated transactions. It is structured to offer Classes A and I shares, with shares continuously offered on a quarterly basis. The fund operates with a 5 to 10-year typical holding period for investments, aiming for strategic growth and value creation in sectors like technology and healthcare.
News and Notices
Pomona Capital, Voya Investment Management
2015
'40 Act
Tender Offer CEF
USD
Quarterly
Quarterly
1.65%
March 31
News and Notices
Portfolio Holdings
Portfolio Composition
Growth
Secondary Pricing
Capital Flows
Tender Offers
Share Classes
Returns
Fees
Ownership
Operating Metrics
Per Page
10
Notices
Jul 26, 2026
16:00
Ownership, Personnel
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Pomona Investment Fund Secretary Elaine Hsu disclosed that she beneficially owned no securities of Pomona Investment Fund for the August 10, 2026 report date.
May 21, 2026
09:00
Compliance
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Pomona Investment Fund provided its annual fund notice report for calendar year 2026, covering the period ended June 30, 2026, signed by Michael D. Granoff, President and Principal Executive Officer.
Jun 19, 2024
13:58
Ownership, Personnel, Redemptions
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Pomona Investment Fund Secretary John Charles Stephens sold 12,252 common shares at $16.4646 per share on June 30, 2026, and reported 0 shares owned following the transaction. His disclosed direct ownership in the fund ended as of the transaction date.
Feb 28, 2026
15:14
Fees, Marketing Materials, Subscriptions
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Pomona Investment Fund updated its prospectus for a continuous offering of up to $1.5 billion of Class A and Class I shares, with estimated offering expenses of about $760,000 and Class A sales loads of up to 3.0%. Investors may purchase shares monthly at net asset value, with $25,000 minimum initial investments and limited liquidity through discretionary repurchase offers.
Nov 22, 2024
09:27
Redemptions
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Pomona Investment Fund launched a repurchase offer for Class A and Class I shares up to 5% of total net assets. Accepted investors receive cash or a non-interest-bearing promissory note at 100% of September 30, 2026 unaudited net asset value.
Aug 15, 2024
15:30
Redemptions
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Pomona Investment Fund reported final tender offer results, increasing the purchase amount from $97.0 million to $104.9 million, accepting 100% of validly tendered shares and wiring payments on April 27, 2026.
Jun 03, 2025
16:42
Compliance
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Pomona Investment Fund and Pomona Management requested exemptive relief to permit co-investments with 20 affiliated funds and other Pomona-advised entities. If approved, transactions would involve the same securities, timing and pricing, with governance oversight.
May 19, 2024
16:00
Personnel
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Pomona Investment Fund updated its management disclosures to show Michael Granoff, Frances Janis, and Jim Rorer as Portfolio Managers, along with their account coverage and ownership ranges as of recent reporting dates. The update also confirms their current portfolio-manager responsibilities and personal holdings in the Fund.
Feb 07, 2025
09:03
Ownership, Personnel, Subscriptions
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Michael D. Granoff, President and PEO of Pomona Investment Fund, acquired 19,849.442 Common Shares at $16.228 per share, resulting in 19,849.442 shares owned directly following the transaction.
Nov 07, 2025
08:59
Ownership, Personnel, Subscriptions
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Pomona Investment Fund Treasurer and PFO Janis Frances acquired 13,671.93 Common Shares at $16.228 per share, increasing her direct holdings to 28,715.86 shares. The ownership update reflects a change in reported insider holdings.
Preview
News
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Research & Stats
Capital Flows
'40 Act Secondary Funds: Capital Flows Analysis
Jul 9, 2026

We analyze the subscriptions, redemptions, net capital share transactions, and distributions across '40 Act secondary funds, leveraging EvergreenLink data.

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Returns & Performance
Private Equity
Interval CE Funds
Tender Offer CE Funds
Evergreen secondary funds return double-digits
Feb 19, 2026

Institutional Link analyzes the top performing '40 act secondary funds as of Q3 across one-, three-, and five-year periods, as the strategy continues to outperform peer groups.

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Research & Stats
'40 Act Secondary Funds: Capital Flows Analysis
Dec 9, 2025

SecondaryLink analyzes the subscriptions, redemptions, net capital share transactions, and distributions across '40 Act secondary funds, using data from the SecLink Evergreen Screener

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Returns & Performance
Private Equity
Evergreen secondary funds post 12.3% average return
Oct 15, 2025

SecondaryLink analyzes the top performing '40 act secondary funds across one-, three-, and five-year periods, as the strategy continues to outperform all major peer groups, based on data from the SecLink Evergreen Screener.

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Research & Stats
Private Equity
Leonard Green CVs draw strong '40 Act fund interest
Sep 17, 2025

SecondaryLink dives into full transaction details (price paid, size, etc.) for underlying investors in the single-asset and multi-asset vehicles, both of which included wholesaler Jetro.

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Managers
'40 Act in Focus: Pomona Investment Fund
Jun 13, 2025

SecondaryLink outlines PIF's share class performance, Q1 secondaries investments, and portfolio makeup as of March.

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Managers
'40 Act in Focus: Pomona Investment Fund
Mar 10, 2025

SecondaryLink outlines PIF's NAV performance, Q4 secondary investments, portfolio makeup, and structure.

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Managers
'40 Act in Focus: Pomona Investment Fund
Dec 17, 2024

SecondaryLink outlines PIF's Q3 secondary investments, pricing, NAV performance, portfolio makeup, and structure.

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Returns & Performance
Research & Stats
Returns Revealed: Evergreen funds
Aug 6, 2024

Seven '40 act funds that invest in secondaries were evaluated, outlining each of their one-year, since-inception, and weighted average returns across share classes.

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Partnerships
Managers
Pomona Investment Fund joins iCapital's marketplace
Nov 29, 2023

The secondaries-oriented fund is now increasingly accessible to wealth advisors and their clients.

Pomona Investment Fund
Pomona Capital and Voya Investment Management are responsible for managing Pomona Investment Fund.
Pomona Investment Fund launched in 2015.
Pomona Investment Fund is registered as a '40 Act fund.
Pomona Investment Fund is structured as a Tender Offer CEF fund.
You can invest in Pomona Investment Fund by meeting its eligibility requirements and subscribing through the fund's offering process or an approved platform. Visit their website for more details.
You can invest in Pomona Investment Fund quarterly, subject to eligibility and fund subscription deadlines.
You can redeem shares of Pomona Investment Fund quarterly, subject to redemption limits and notice requirements.
Shares of Pomona Investment Fund can be purchased in USD.
Pomona Investment Fund's fiscal year end is March 31.
Pomona Investment Fund's net asset value was $1,667 million and its portfolio had a fair value of $1,746.8 million as of June 30, 2026.
Among other deal types, Pomona Investment Fund primarily makes Secondary (non-CV) Investments.
Among other asset classes, Pomona Investment Fund primarily invests in LBO.
Among other regions, Pomona Investment Fund primarily invests in the USA.
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