Northern Rivers Global Energy Fund LP

FUND INVESTMENT OBJECTIVE

NULL


FUND ANALYSIS

Inception date:
-
As of date:
Nov. 01, 2015
Minimum Investment (ON):
$0
RRSP eligibility:
No
Assets under management ($MM):
0.925
Management fee:
0.00%
Performance fee:
0.00%
Hurdle rate:
0.0000
Style:
NULL


PERFORMANCE


Monthly Performance (since inception)
  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov DecYEAR
2015 -5.08% 6.72% -1.83% 1.65% 5.35% -3.39% -4.59% -3.92% 1.39% 3.73% -7.21%  
-7.96%
2014 2.64% 3.73% 1.47% 4.18% -2.05% 0.43% -2.76% 2.16% -9.68% -13.78% -12.10% -2.75%
-26.78%
2013 1.10% -4.75% -2.24% -1.31% 2.85% -3.36% 4.60% 7.71% 7.90% 2.73% 0.56% 2.23%
18.56%
2012 4.33% 11.01% -4.71% -4.22% -5.08% -4.73% 4.56% 4.23% 5.08% 1.61% -3.50% 0.11%
7.46%
2011 4.90% 5.89% -1.77% -0.82% -2.00% -7.09% 4.97% -11.28% -15.21% 16.70% 3.58% 2.85%
-3.27%
2010 1.51% 3.94% 2.84% 3.40% -9.67% -4.25% 3.64% 0.15% 10.01% 4.18% 5.97% 6.83%
30.68%
2009 0.48% -5.42% -1.81% 6.64% 1.04% 5.61% 0.76% 7.82% 7.38% -0.37% 1.62% 9.80%
37.70%
2008 -7.13% 2.41% -6.80% 15.72% 7.65% 1.44% -13.06% -5.39% -20.52% -22.27% -10.01% -9.18%
-53.48%
2007 6.05% 8.98% 0.04% 8.69% -1.99% -0.02% 5.29% -6.69% 3.08% 7.93% -8.57% 5.99%
30.43%
2006 6.58% -4.49% 5.80% 6.07% 0.35% -4.89% 3.01% 1.20% -10.12% 6.89% -0.08% 3.55%
12.98%
2005                     2.19% 6.52%
8.85%


As of Nov. 01, 2015
Performance
Annualized Returns*
 
1 Month
3 Month
6 Month
YTD
1 Year
2 Year
3 Year
5 Year
Since Inception**
Fund
-7.21%
-2.41%
-13.57%
-7.96%
-10.49%
-17.00%
-7.18%
-2.37%
1.09%
S&P500TRI
-9.68%
-4.26%
-19.98%
-22.55%
-14.21%
5.75%
7.74%
10.45%
15.16%
S&P/TSX
-7.31%
-3.47%
-19.70%
-17.18%
-12.42%
5.82%
2.72%
2.96%
4.27%
MSCI World
3.58%
3.27%
1.10%
-3.08%
-2.16%
4.75%
9.55%
-4.18%
-0.05%
NASDAQ
-11.12%
-6.54%
-27.90%
-34.54%
-27.71%
-2.24%
11.71%
13.09%
17.19%
Van Global HF Index
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
*Annualized returns are compounded.
** Since the Fund's Inception



RISK ANALYSIS

Correlation (since the Fund's inception)
 
Fund
S&P500TRI
S&P/TSX
MSCI World
NASDAQ
Van Global HF Index
Fund
1
0.024
0.052
-0.086
0.025
0.000
S&P500TRI
0.024
1
0.208
0.121
0.255
0.000
S&P/TSX
0.052
0.208
1
0.089
0.150
0.000
MSCI World
-0.086
0.121
0.089
1
0.088
0.000
NASDAQ
0.025
0.255
0.150
0.088
1
0.000
Van Global HF Index
0.000
0.000
0.000
0.000
0.000
1

RISK MEASUREMENTS
As of Nov. 01, 2015
1 Year
2 Year
3 Year
5 Year
Since Inception
Annualized Std. Deviation
15.52%
18.76%
17.70%
20.55%
22.81%
Maximum Drawdown
-13.57%
-40.13%
-40.13%
-40.13%
-61.25%
Max. # of Months Off-peak
6
19
19
19
69
Gain Deviation
8.00%
6.32%
8.06%
11.42%
11.47%
Loss Deviation
14.50%
18.43%
18.83%
21.63%
23.88%
Semideviation
6.06%
14.02%
12.99%
13.55%
17.37%
Beta (S&P500)
0.45
0.38
0.21
0.10
0.08
Std. Dev. of the Std. Dev.
2.09%
4.94%
4.41%
6.62%
7.57%
Nagy's Volatility Measure
0.16%
0.19%
0.17%
0.15%
0.18%
Skewness
0.41
-0.74
-0.70
-0.24
-0.70
Kurtosis
-1.09
0.01
0.49
0.72
1.10
R2 (S&P500)
0.411
0.148
0.060
0.007
0.002

EFFICIENCY
As of Nov. 01, 2015
1 Year
2 Year
3 Year
5 Year
Since Inception
Sharpe Ratio (4%)
-0.93
-1.12
-0.63
-0.31
-0.13
Sortino Ratio
-2.39
-1.50
-0.86
-0.47
-0.17
Jensen's Alpha (S&P500)
-6.34%
-21.67%
-11.96%
-6.98%
-3.79%
Up Capture Ratio
39.27%
-9.60%
4.80%
-0.39%
0.82%
Down Capture Ratio
58.99%
69.54%
49.40%
16.09%
0.07%
Omega (0%)
65.48%
51.61%
78.27%
98.99%
112.94%
Appraisal Ratio
-0.29
-1.31
-0.74
-0.36
-0.18
Tracking Error (S&P500)
4.58%
6.24%
6.86%
7.52%
7.66%
Information Ratio (S&P500)
0.81
-3.65
-2.17
-1.70
-1.84
Sterling Ratio
-1.07
-0.52
-0.28
-0.16
-0.05
Treynor Measure
-0.32
-0.55
-0.54
-0.67
-0.37
M2 - Modigliani Measure (S&P500)
12.72%
-7.59%
-7.42%
-8.01%
-11.68%
Burke Ratio
-34.22%
-16.63%
-16.08%
-11.87%
-7.37%
C O N T A C T   I N F O R M A T I O N
Address:
Blumont Capital Corporation
70 University Avenue
Toronto, ON  M5J 2M4
Phone: (416) 597-3257
Fax: (416) 597-8926
Toll Free: (186) 690-27060
If any of the data above is out-of-date, please let us know.