EFTA00658476.pdf
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KAUFMAN ROSS IN
fund
ServiCeS
SOUTHERN FINANCIAL, LLC
6100 RED HOOK QUARTER
ST. THOMAS
00802
US VIRGIN ISLANDS
INVESTOR DETAILS
INVESTOR NAME:
REFERENCE ID:
FAX:
EMAIL:
CIAL, LLC
Please find below a statement related to your investment interest in the following Investment
have anquestions regarding this account
statement or need additional information, please contact the Investor Services Department a
INVESTMENT DETAILS
INVESTMENT FUND:
DATE:
CLASS AND SERIES OF SHARES:
BOOTHBAY ABSOLUTE RETURN STRATEGIES, LP
JANUARY 31, 2015
CLASS 2F INTERESTS
VALUE
MONTH TO DATE
YEAR TO DATE
BEGINNING BALANCE
10.244.264
$
10.244.264
SUBSCRIPTIONS
ASSIGNMENTS
REDEMPTIONS
GROSS INCOME (LOSS)
104,740
104,740
MANAGEMENT FEE
(8,537)
(8,537)
INCENTIVE ALLOCATION
(14,430)
(14,430)
ENDING BALANCE
10,326,037
$
10,326,037
NET RETURN
0.798%
0.798%
ACCOUNT DETAILS
FOOTNOTE(S)
All figures are unaudited and should not be relied on for income tax purposes.
Month-to-date beginning balance is presented net of the pro-forma, cumulative incentive allocation through the previous month.
Incentive allocation presented above is for pro
-forma purposes only. The incentive allocation is effected, if applicable, at the end of each calendar year or at
the time of any limited partners redemption.
A portion of the Fund's net assets are held in certain accounts that have not been independently verified by Kaufman Rossin Fund Services. LLC ("KRFS").
The net equity and profit or loss of these accounts is included in the books by KRFS based on amounts provided to KRFS by the Investment Manager,
Boothbay Fund Management, LLC. For the period ended January 31, 2015 the assets in these certain accounts represent less than 0.01% of the Funds net
assets. The net equity and profit or loss may differ from the net equity and profit or loss that would have been determined if independently verified by KRFS,
and the differences from the carrying value could be material.
Please note that subsequent to issuance of this investor statement, Kaufman Rossin Fund Services, LLC will no longer act as administrator of Boothbay
Absolute Return Strategies, LP. Please direct any future inquiries regarding the administration of the fund to Boothbay Hybrid GP, LLC.
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EFTA00658476
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| Filename | EFTA00658476.pdf |
| File Size | 58.0 KB |
| OCR Confidence | 85.0% |
| Has Readable Text | Yes |
| Text Length | 2,319 characters |
| Indexed | 2026-02-11T23:21:13.515860 |