Investment Objective

The JM Catalyst Fund LP (“Fund”) is a long biased, multi-strategy hedge fund. The investment objective of the Fund is to provide long-term capital growth through superior securities selection by taking both long and short investment positions in equity, debt and option securities and through strategic trading. The allocation of long and short positions will vary depending on the opportunities the Manager believes have the best reward per unit of risk.

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Fund Details

Investment Fund Manager: JM Fund Management Inc.
Portfolio Manager: Jan Mizrahi, CFA
Fund Auditor: KPMG LLP
Legal: Stikeman Elliott LLP 
Fund Valuation/Administrator: SGGG Fund Services Inc. (FSI) 
Independent 3rd party Fund Valuation & Accounting and Unitholder Record Keeping & Transfer Agency administration. FSI has greater than $42 Billion in Assets Under Administration (AUA) and services more than 300 fund products.
Prime Broker/Custodian: National Bank Financial 
Currency: Canadian dollars ($CAD)
Minimum Investment: $25,000 (Accredited Investors)
Fund Structure: Limited Partnership
Management Fee: 2% for Class A
Profit Allocation: 20%, with perpetual high watermark (no reset)
Subscriptions: Monthly
Redemptions: Monthly, with 35 days’ notice
Early Redemption Fee: 2% if invested for less than 12 months
Fund Codes:
FundSERV JMF 300 (purchase) / JMF 301 (settlement) – Class A
FundSERV JMF 310 (purchase) / JMF 311 (settlement) – Class F

Investment Process: You can purchase directly from us (Ontario residents only) or through certain investment firms and/or dealers. Please contact us for further information or to receive the Fund’s Offering Memorandum, Conflicts of Interest Statement and/or Subscription Agreement.
Reporting: Monthly performance updates, semi-annual and annual letter to investors, semi-annual financial statements (listing all investments, cost and market value of each) and annual audited financial statements (listing all investments, cost and market value of each), and an end of year investment tax package.

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Awards

3rd Place: CHFA Best 10-Year Overall Canadian Hedge Fund – All Categories (2020)
1st Place: CHFA Best 5-Year Annualized Sharpe Ratio – Multi-Strategy Category (2018)
3rd Place: CHFA Best 10-Year Overall Canadian Hedge Fund – All Categories (2018)
1st Place:  Canadian Hedge Fund Awards Best 5-Year Annualized Sharpe Ratio – Multi-Strategy Category (2017)
1st Place:  Canadian Hedge Fund Awards Best 5-Year Annualized Sharpe Ratio – Multi-Strategy Category (2016)
1st Place:  Canadian Hedge Fund Awards Best 5-Year Return – Multi-Strategy Category (2016)

1st Place:  Canadian Hedge Fund Awards Best 5-Year Return – Multi-Strategy Category (2015)
2nd Place: Canadian Hedge Fund Awards Best 5-Year Annualized Sharpe Ratio – Multi-Strategy Category (2015)
2nd Place: Canadian Hedge Fund Awards Best 5-Year Annualized Sharpe Ratio – Equity Focused Category (2014)
2nd Place: Canadian Hedge Fund Awards Best 3-Year Annualized Sharpe Ratio (2013)
1st Place: Best Opportunistic Hedge Fund, Morningstar Canadian Investment Awards (2012)
1st Place: Canadian Hedge Fund Awards Best 3-Year Annualized Sharpe Ratio (2012)
1st Place: Canadian Hedge Fund Awards Best 3-Year Annualized Sharpe Ratio (2011)

 

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