UBER Strategies LP
Risk Level: HIGH
The Fund’s methodology focuses on three key investment objectives of capital preservation, absolute returns and market downside protection. The Fund is core long volatility biased with finite risk strategies including relative value arbitrage, short term momentum trading, and volatility arbitrage.
The success of the strategy is not dependent on the direction of the markets.
Performance
Detail
Investment Terms
Minimum Investment:
Management Fee:
Performance Fee:
Lock Up:
Redemption:
Redemption Fee:
$25,000
2.0%
20%
none
monthly, 30 days notice
2% penalty within 90 days
Fund Specifications
FundSERV code:
Fund Manager:
Advisors Administrator:
Services Prime Broker:
Services Auditor:
Legal:
SCA 200
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