We take pride in our reputation for our open investor communication, and strive to continually strengthen our commitment to providing superior transparency to our unitholders.
We publish a “Monthly Commentary” (via e-mail) on the first business day of each month. The goal of this regular correspondence is to openly communicate the performance results of your fund and to provide you with specific details concerning the investments held within the fund. We subscribe to the notion that it is in the collective interest of the fund to have unitholders better understand the companies which we own and the specific rationale for our investments.