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Investment Performance2019-04-18T04:43:40+00:00

Mach 100 LP Performance with Non-Correlation

MACH 100 LP seeks to generate superior returns by entering positions with high return risk profiles at the inflection point of their catalysts to capture discovery premium and multiple expansion. As the Fund’s strategy is non-correlated, it is expected that our positions in the fund often trade based upon their own fundamentals and the supply demand situation of the security or event that is fact specific to the respective portfolio securities (e.g. stock, bond, metal, etc.); not based upon the performance of the broad financial markets.

Mach 100 LPPerformance Summary

Mach 100 LP Investment Performance Results are presented gross and net. Net results are for an investor since inception, net of 1% management fee and 25% performance allocation with a “high watermark” threshold. Individual investor’s performance may vary based on time of investment and class of investment. Since inception returns are from fund inception 4/2018. Important Performance Disclosures

Mach 100 LP Investment Performance Results are presented net. Net results are for an investor since inception, net of 1% management fee and 25% performance allocation with a “high watermark” threshold. Individual investor’s performance may vary based on time of investment and class of investment. Since inception returns are from fund inception 4/2018.Important Performance Disclosures

Mach 100 LP Performance Comparison


Mach 100 LP Investment Performance Results are presented net. Net results are for an investor since inception, net of 1% management fee and 25% performance allocation with a “high watermark” threshold. Individual investor’s performance may vary based on time of investment and class of investment. Since inception returns are from fund inception 4/2018.Important Performance Disclosures