Hedge Weekly N°52
Investment Funds Performance Review
Alternative Investment Group
Week of Monday 19 Dec to Friday 23 Dec 2011
COPYRIGHT PROTECTED
According to the disclaimer stated on last page, this document belongs to HSBC Private Bank (Suisse) SA and its copyright protected. If
someone publishes or disseminates it without HSBC Private Bank (Suisse) SA’s approval or authorization, the latter reserves the right to
pursue all remedies available, legal, equitable, or otherwise, to halt this unauthorized and inappropriate action. It also reserves the right to
seek all monetary damages to which it may be entitled.
Index by Strategies iii
Index by Funds iv
Top/Bottom 20 1
Newsletter 4
Disclamer 37
Past performance is not a guide to future performance Alternative ii
Investment Group
Convertible Arbitrage Commodity 25
Currency 25
Convertible 4 Diversified 25
Credit Long/Short Managed Futures
Credit 5 Currency 28
Multi-Strategy 6 Discretionary 28
Distressed Systematic 29
Distressed Security 7 Market Neutral
Equity Long/Short Discretionary 30
Multi-Strategy 31
Equity-Commodity 9 Statistical Arbitrage 31
Equity-Diversified 10 Systematic 32
Equity-Energy 16
Equity-Financial 17 Merger Arbitrage
Equity-Healthcare 17 Merger-Arbitrage 33
Equity-Mid-Small Cap 17
Multi-Strategy
Equity-Pharma-Biotech 18
Equity-Technology 19 Diversified 34
Equity-Utility 19 Multi-Strategy 36
Event Driven Systematic 36
Multi-Strategy 20
Fixed Income Arbitrage
Fixed Income 22
Fund of Funds
Arbitrage 23
Event Driven 23
Leveraged Multi-Strategy 23
Long/Short 23
Multi-Strategy 23
Trading 24
Macro
Past performance is not a guide to future performance Alternative iii
Investment Group
BAY RESOURCES PARTNERS OFFSHORE 15 BRUMMER MULTISTRATEGY 2XL, LTD 34 CQS DIVERSIFIED FUND (SPC) LTD 34
A BEACH POINT TOTAL RETURN OFFSHO 8 BRYN MAWR OFFSHORE LTD 17 CRABEL FUND SPC LTD CLASS A 28
BENNELONG ASIA PACIFIC MULTI ST 34 BTG PACTUAL DISTRESSED MORTGAGE 8
A.R.T. INTERNATIONAL INVESTOR ( 31
BLACK DIAMOND RELATIVE VALUE LT 30 BTG PACTUAL GLOBAL EMERGING MAR 26 D
ABSOLUTE INSIGHT UK EQUITY MKT 30
BLACK DIAMOND, LTD - CLASS B (U 34
ADELPHI EMERGING EUROPE. FUND 10 DAVIDSON KEMPNER DIST. OPP. INT 7
BLACK RIVER DYNAMIC STRATEGIES 34 C
ADELPHI EUR. FUND $ (A) 11 DAVIDSON KEMPNER INTL, LTD - CL 20
BLACKROCK EOS CLASS B USD COMP 31
AETOS CORPORATION - CLASS A 33 CANYON BALANCED FUND LTD - CLAS 7 DB EQUILIBRIA JAPAN FUND 30
BLACKROCK MULTI-STRATEGY FUND 34
AG SUPER FUND INTERNATIONAL, LT 34 CANYON VALUE REALIZATION FD, LT 7 DB EQUILIBRIA JAPAN FUND LTD 2X 30
BLACKROCK 32 CAPITAL MASTER FUN 32
AJR INTERNATIONAL (BVI), INC. - 15 CAPITAL FUND, LTD (THE) 26 DISCOVERY GLOBAL OPPORTUNITY FU 25
BLACKROCK FIXED INCOME GLOBAL A 22
ALLBLUE LIMITED 34 CAPULA GLOBAL RELATIVE VALUE FU 22 DISCUS FEEDER LTD CL. B USD STA 28
BLACKROCK OBSIDIAN FUND 22
ALLIANCE BERNSTEIN SELECT US EQ 15 CASTLEROCK FUND LTD 15 DKR QUANTITATIVE STRATS FUND, L 28
BLACKROCK UK EQUITY HEDGE FUND 15
ALPHADYNE INVESTMENT STRATEGIES 25 CAXTON GLOBAL INVESTMENT LTD 26 DORSET ENERGY FUND, LTD - CLASS 16
BLUE SKY JAPAN LTD - CLASS A 14
ALPHAGEN CAPELLA FUND-A- 11 CAZENOVE EURO EQ ABS RETURN FUN 11 DOUBLE BLACK DIAMOND LTD - SERI 35
BLUECREST CAPL INTL LTD A USD 34
ALPHAGEN HOKUTO FUND LTD - CLAS 14 CAZENOVE UK ABSOLUTE TARGET FUN 31 DRAKE ABSOLUTE RETURN FUND, LTD 26
BLUECREST EMERGING MARKETS FUND 25
ALPHAGEN OCTANIS CLASS A 15 CAZENOVE UK EQUITY ABSOLUTE RET 15 DRAKE GLOBAL OPPORTUNITIES FUND 22
BLUECREST MULTI STRATEGY CREDIT 5
ALPHAGEN TUCANA 11 CENTAUR COMMERCIAL MATERIALS FU 4
BLUEMATRIX FUND CLASS -A- USD 31
ALPHAGEN VOLANTIS FUND, LTD - A 18 CENTAURUS INTERNATIONAL RISK AR 33 E
BLUEMOUNTAIN CREDIT ALTERNATIVE 5
ALYDAR FUND LTD 15 CERBERUS INTL. LTD 7
BLUEMOUNTAIN EQUITY ALTERNATIVE 34 EAGLE GLOBAL FUND 29
ALYSHEBA FUND LIMITED 15 CHILTON CHINA OPPORTUNITIES FUN 9
BLUETREND FUND, LTD - CLASS A 28 ECOFIN GLOBAL LONG/SHORT FUND 19
AMAZON MARKET NEUTRAL FUND CLAS 30 CIPHER DIVERSIFIED FUND-A- 28
BORONIA DIVERSIFIED FUND MASTER 28 EEA EUROPE LONG SHORT FUND -USD 11
ANTARES EUROPEAN FUNDS, LTD - U 11 CLIVE FUND (The ) Class - A - 25
BOUSSARD & GAVAUDAN HOLDING., L 34 EGERTON EUROPEAN DOLLAR CLASS - 11
ARCUS JAPAN FUND -JPY- 14 COBALT OFFSHORE LTD 16
BOYER ALLAN GREATER CHINA FUND 9 ELEMENT CAPITAL FUND 26
ARROWGRASS INT FUND LTD 34 COMAC GLOBAL MACRO FUND 26
BOYER ALLAN PACIFIC FUND INC-A- 9 ELLERSTON ASIA PACIFIC FUND 9
ASCEND PARTNERS FUND II LTD - A 15 CONQUEST MACRO FUND, LTD (COMP) 28
BREVAN HOWARD ASIA FUND LIMITED 25 ELLERSTON GEMS - CLASS A 13
ASPECT DIVERSIFIED FUND - CLASS 28 COREVEST PARTNERS LTD 9
BREVAN HOWARD CREDIT CATALYSTS 5 ELM RIDGE VALUE PARTNERS OFFSHO 16
AVESTA FUND LTD A/1 15 CQS ABS FEEDER FUND - CLASS -B- 5
BREVAN HOWARD EM. MKT STRATEGIE 25 EMF FIXED INCOME FUND, LTD 22
CQS ASIA FEEDER FUND LTD- CLAS 4
BREVAN HOWARD FUND, LTD - USD C 26 EMINENCE FUND LTD A 16
B CQS CONV & QUANT STRATS FEED FD 4
BREVAN HOWARD M/S FUND, LTD – C 34 ENNISMORE EUROPEAN SMALLER COMP 17
CQS DIRECTIONAL OPP. FUND. Ltd 34
BASSO INVESTORS LTD 4 BRIGADE LEVERAGED CAPITAL STRUC 6 EPISODE INC. CLASS A 26
Past performance is not a guide to future performance Alternative iv
Investment Group
EVEREST CAPITAL ASIA 9 GRAHAM GLOBAL INVESTMENT FUND I 29 HSBC LEVERAGED GH FUND 23
EVEREST CAPITAL FRONTIER MARKET 10 GRAHAM GLOBAL INVESTMENT FUND I 29 HSBC MAA FUND USD 23 L
EXANE ARCHIMEDES FUND CLASS A C 19 GREEN II FUND-S/ 01.06 COMPOSIT 26 HSBC TRADING ADVANTEDGE FUND 24
LANSDOWNE EURO EQTY FD, LTD - A 12
EXANE MICROMEGAS FUND LTD- CLAS 30 GREEN T G2 FUND 5 HT ASIAN CATALYST FUND LLC 9
LANSDOWNE GLOBAL FINANCIALS FUN 17
EXANE TEMPLIERS FUND 13 GREENLIGHT CAPITAL OFFSHORE, LT 18 HUTCHIN HILL CAPITAL OFFSHORE F 35
LANSDOWNE UK EQUITY FUND, LTD ( 15
GROWTH MANAGEMENT LTD 10
LAZARD RATHMORE FUND - CLASS A- 4
F GRT TOPAZ OFFSHORE PARTNERS, LT 18 I
LC CAPITAL OFFSHORE FUND, LTD 7
GSA CAPITAL INTERNATIONAL FUND, 31
FEINGOLD OKEEFFE CAPITAL I OFFS 5 III FUND LTD 22 LIM ASIA MULTI-STRATEGY FUND CL 31
FINISTERRE SOVEREIGN DEBT FUND 5 III RELATIVE VALUE CREDIT STRAT 22 LIM JAPAN FUND 36
H
FIREBIRD NEW RUSSIA FUND, LTD - 10 INVESTCORP STONEWORKS GLOBAL MA 27 LINDEN INTERNATIONAL LTD 35
FIREBIRD REPUBLICS FUND, LTD 10 HABROK LTD 12 IRONSHIELD SPECIAL SITUATIONS F 7 LION FUND, LTD (THE) 33
FIRST EAGLE GOOD HOPE INTERNATI 20 HALCYON OFF. ASSET-BACKED VALUE 8 IVORY CAPITAL FLAGSHIP STRATEGY 16 LONDON DIVERSIFIED FUND, LTD - 22
FORE MULTI STRATEGY FUND LTD 35 HARMONIC ALPHA PLUS MACRO FUND 26
FORTRESS MACRO FUND LTD. CLASS 26 HENDERSON EUROPEAN ABS RETURN F 12 J M
HENDERSON JAPAN ABS RETURN FD, 14
JABCAP GLOBAL BALANCED FUND LTD 35 M. KINGDON OFFSHORE NV - A/1 13
G HENDERSON UK EQUITY L/S FUND LI 15
JABCAP MULTI STRATEGY FUND LTD 35 MACQUARIE ASIAN ALPHA FUND 30
HIGHBRIDGE CAPITAL CORPORATION 35
GABELLI ASSOCIATES LIMITED - CL 33 JCAM GLOBAL FUND LIMITED CLASS 5 MAN AHL DIVERSIFIED PLC 29
HIGHBRIDGE LONG/SHORT EQUITY FU 16
GAM GLOBAL RATES HEDGE FUND 26 JOHO FUND, LTD-A- 9 MARATHON OVERSEAS FUND, LTD - A 22
HIGHBRIDGE STATISTICAL OPP. LTD 31
GAM JAPAN EQUITY HEDGE FUND 14 JPMORGAN PORT. STRAT. FUNDS-EUR 12 MARATHON VERTEX JAPAN FD, LTD C 14
HORSEMAN GLOBAL FUND USD 13
GAMUT INVESTMENTS 26 MARINER-TRICADIA CREDIT STRATEG 5
HSBC ALPHA FUND LTD - HSBC EURO 12
GAVEA FUND LTD . CLASS A S/1 25 K MARSHALL WACE - MW CORE A USD 12
HSBC ASIAN ADVANTEDGE FUND 23
GEOSPHERE DIRECTIONAL FUND LTD 9 MARSHALL WACE - MW EUREKA A1 EU 13
HSBC DISTRESSED MARKETS FUND US 23 KALTCHUGA FUND - RUSSIA EQ. SUB 10
GEOSPHERE FUND, LTD 9 MARSHALL WACE - MW EUROPEAN TOP 12
HSBC EMERGING ADVANTEDGE FUND 23 KEYNES LEVERAGED QUANTITATIVE S 29
GLC DIVERSIFIED FUND LTD -A- 35 MARSHALL WACE - MW GLOBAL FINAN 17
HSBC EUROPEAN ALPHA FUND -EUR 12 KINETICS FUND, INC - A/A 16
GLC GESTALT EUROPE FUND, LTD A/ 31 MARSHALL WACE - MW GLOBAL OPPOR 13
HSBC GH FUND USD 24 KING STREET CAPITAL, LTD 7
GLENROCK GLOBAL PARTNERS (BVI) 13 MARSHALL WACE - MW MARKET NEUTR 30
HSBC GIF GEM EQUITY ABSOLUTE RE 10 KING STREET EUROPE LTD CLASS A 7
GRACIE CREDIT OPPORTUNITIES L.P 5 MARTIN CURRIE ARF - GLOBAL RESO 9
HSBC HEDGE INVESTMENTS FUND 24 KROM RIVER COMMODITY FUND 28
GRADIENT EUROPE FUND (THE) 12 MARTIN CURRIE ARF - JAPAN FUND 14
HSBC INDIA ALPHA FUND 10
GRAHAM GIF II PROPRIETARY MATRI 29 MARTIN CURRIE EUROPEAN HEDGE FU 12
Past performance is not a guide to future performance Alternative v
Investment Group
MAVERICK FUND, LTD - CLASS A/1 14 ORTUS FUND (CAYMAN) LTD 28 POLLUX BRAZILIAN EQUITIES FUND 11 SINOPIA L/S GL. BOND MK NEUT.FU 22
MBAM ACTIVE LONG SHORT 12 OWL CREEK OVERSEAS FUND, LTD 20 PROLOGUE FEEDER FUND, LTD. CLAS 22 SOFAER CAPL ASIAN HEDGE FD (Net 10
MELLON OFF GLOB OPP FUND LTD - 27 PSAM MERGER FUND LTD 33 SOMERSET SPECIAL OPPORTUNITIES 8
MELLON OFF. ALPHAACCESS FUND LT 27 P SPINNER GLOBAL TECHNOLOGY FUND, 19
MERCHANT COMMODITY FUND (THE) - 25 Q SR GLOBAL FUND - B - ASIA (Real 10
PALOMINO FUND LTD CLASS B ORIGI 5
MILLENNIUM INTL LTD 35 SR GLOBAL FUND C - INTERNATIONA 14
PARA INTERNATIONAL FUND -A- 20 QFS CURRENCY FUND, LTD CLASS B 25
MKP CREDIT OFFSHORE FUND 6 SR GLOBAL FUND F - EUROPE (€) ( 13
PARS IV OFFSHORE FUND II , CL. 22 QFS GLOBAL MACRO FUND, LTD CLAS 27
MKP OPPORTUNITY OFFSHORE, LTD 27 SR GLOBAL FUND G - EMERGING MKT 11
PAULSON ADVANTAGE LTD -A- 20 QVT OVERSEAS, LTD - B - Serie 1 35
MLIS - CCI HEALTHCARE LONG SHOR 17 SR GLOBAL FUND H - JAPAN (Real 14
PAULSON ADVANTAGE PLUS LTD 20
MLM MACRO PEAK PARTNERS OFFSH F 27 SR PHOENICIA INC CLASS -A- SERI 11
PAULSON CREDIT OPPORTUNITIES LT 7 R
MONARCH DEBT RECOVERY FUND LTD 7 STANDARD PACIFIC CAPITAL -B- 14
PAULSON ENHANCED LTD 33
MONEDA ABSOLUTE RETURN LTD 20 RAB GL. MINING & RESOURCES FUND 14 STONE LION FUND LTD CLASS A 7
PAULSON INTERNATIONAL, LTD 33
MOORE EMERGING EQUITY L/S FUND 11 RAB SPECIAL SITUATION FD LTD 18 STRATEGIC VALUE RESTRUCTURING F 7
PAULSON RECOVERY FUND LTD 20
MOORE EMERGING FX . INC & CRY F 26 REAL RETURN ASIAN FUND LTD (THE 10 STRATUS FUND LIMITED CLASS B 35
PELHAM LONG/SHORT FUND LTD CLAS 12
MOORE GLOBAL INV FD, LTD - A $ 27 RENAISSANCE INSTITUTIONAL EQUIT 16 SWORDFISH FUND LTD 27
PENSATO EUROPA FUND LTD EURO CL 13
MOORE MACRO MANAGERS FUND, LTD 27 RENAISSANCE INSTITUTIONAL FUTUR 29
PERCEPTIVE LIFE SCIENCES OFFSH 18
REVELATION SPECIAL SITUATIONS F 20 T
PERRY PARTNERS INTERNATIONAL IN 20
N RUBICON GLOBAL FUND, LTD 27
PERSHING SQUARE INTL.LTD 20 TALENTUM ACTIVEDGE FUND LIMITED 30
NEVSKY FUND PLC (COMPOSITE) 14 PHARO MACRO FUND LTD 27 TALENTUM ENHANCED FUND LIMITED 30
S
NEZU CYCLICALS FUND LTD 9 PHARO TRADING FUND 26 TANTALLON FUND (THE) 10
NORDIC ALPHA CLASS B - NOK 12 PIA MACRO FUND LTD 27 SAB OVERSEAS FUND LTD 16 TEMUJIN INTERNATIONAL FUND LTD 30
PICTET-EASTERN EUROPE-P CAP 11 SABA CAPITAL OFFSHORE FUND LTD 5 TEWKSBURY INVESTMENT FUND, LTD 29
O PINPOINT CHINA FUND CLASS A USD 10 SELIGMAN TECH SPECTRUM FUND CLA 19 THEOREMA EUROPE FUND LTD A/1 EU 13
PLATINUM FUND LTD 14 SEMINOLE OFFSHORE FUND 16 THEOREMA EUROPE FUND PLUS LTD B 13
OCCAM GLOBAL EMERGING MARKETS F 11
PLATINUM PARTNERS VALUE ARBITRA 35 SENVEST PARTNERS, LTD - CLASS A 18 THIRD POINT OFFSHORE 20
OCCO EASTERN EUROPEAN FUND 11
PMA CREDIT OPPORTUNITIES 04/04 6 SHEPHERD INVEST LTD CLASS -A -C 35 THIRD POINT ULTRA 20
OCEANIC HEDGE FUND - CLASS A 9
POLAR CAPITAL EUROP CONVICTION 13 SIERRA EUROPE OFFSHORE, LTD - U 13 TOSCA CLASS A - USD 17
OCTAGON PAN ASIA FUND 10
POLAR CAPITAL EUROPEAN FORAGER 17 SILVER POINT CAPITAL OFFSHORE L 7 TRADELINK INTEGRATED PROGRAM LT 29
ODEY EUROPEAN, INC (EUR) 12
POLAR CAPITAL UK ABSOLUTE RETUR 15 SINOPIA L/S GL. BOND MK NEUT.FU 22 TRAXIS FUND LP (OFFSHORE) 27
OMEGA OVERSEAS PARTNERS, LTD C 16
Past performance is not a guide to future performance Alternative vi
Investment Group
TRAXIS SIVIK GLOBAL HEALTHCARE 18
TUDOR B.V.I GLOBAL FUND LTD -A- 27
TUDOR TENSOR FUND LIMITED CLASS 29
TULIP TREND FUND, LTD - A 29
TWO SIGMA COMPASS CAYMAN FUND 29
TWO SIGMA HORIZON CAYMAN LTD 35
TYRUS CAPITAL EVENT FUND LTD 20
V
VIKING GLOBAL EQUITIES III LTD- 14
VISIUM BALANCE OFFSHORE FUND CL 18
VISIUM CREDIT OPPORTUNITIES FUN 5
VISIUM INSTITUTIONAL PARTNERS F 17
VR GLOBAL OFFSHORE FUND LTD 36
W
WATERSTONE MKT NEUT OS FUND, LT 4
WF ASIA FUND LTD S/1 10
WINTON EVOLUTION FUND (THE) 36
WINTON FUTURES FUND - CLASS B 29
Y
YORK INVESTMENT LTD -CLASS A/1 21
Z
ZADIG FUND CLASS A1 13
ZAXIS OFFSHORE LTD - CLASS A/1 18
ZWEIG-DIMENNA INTL LIMITED - CL 16
Past performance is not a guide to future performance Alternative vii
Investment Group
TOP BOTTOM
Investment Funds Return Date Investment Funds Return Date
RENAISSANCE INSTITUTIONAL EQUITIES LP (B) 33.29 16 Dec 11 PAULSON ADVANTAGE PLUS LTD -47.49 30 Nov 11
MARSHALL WACE - MW GLOBAL OPPORTUNITIES A USD 27.02 20 Dec 11 HENDERSON EUROPEAN ABS RETURN FD, LTD USD -42.80 16 Dec 11
BLACKROCK 32 CAPITAL MASTER FUND SPC, LTD (THE) 23.96 16 Dec 11 SENVEST PARTNERS, LTD - CLASS A -36.98 30 Nov 11
- A/1
MLM MACRO PEAK PARTNERS OFFSH FD, LTD - B -34.55 16 Dec 11
DISCUS FEEDER LTD CL. B USD STANDARD LEVERAGE 23.22 16 Dec 11
PAULSON ADVANTAGE LTD -A- -31.69 30 Nov 11
BLACKROCK FIXED INCOME GLOBAL ALPHA FUND 20.06 20 Dec 11
HENDERSON UK EQUITY L/S FUND LIMITED -31.02 16 Dec 11
PLATINUM PARTNERS VALUE ARBITRAGE INT. FUND 19.17 30 Nov 11
CIPHER DIVERSIFIED FUND-A- -30.44 16 Dec 11
LTD
MERCHANT COMMODITY FUND (THE) - COMPOSITE -30.13 16 Dec 11
STRATUS FUND LIMITED CLASS B 16.80 16 Dec 11
PAULSON RECOVERY FUND LTD -27.49 30 Nov 11
GSA CAPITAL INTERNATIONAL FUND, LTD - CLASS A 15.01 16 Dec 11
RAB GL. MINING & RESOURCES FUND LTD -B- -26.35 15 Dec 11
BREVAN HOWARD FUND, LTD - USD CLASS A 12.66 30 Nov 11
JABCAP GLOBAL BALANCED FUND LTD CLASS D/1 NI -25.39 13 Dec 11
EAGLE GLOBAL FUND 11.36 16 Dec 11
JABCAP MULTI STRATEGY FUND LTD CLASS D/1 NI -25.09 30 Nov 11
MKP OPPORTUNITY OFFSHORE, LTD 11.22 16 Dec 11
BLUE SKY JAPAN LTD - CLASS A -24.62 30 Nov 11
AMAZON MARKET NEUTRAL FUND CLASS A USD 11.13 16 Dec 11
SR GLOBAL FUND C - INTERNATIONAL (Real Perf) -24.11 14 Dec 11
CAZENOVE UK ABSOLUTE TARGET FUND - P2 GBP 10.89 14 Dec 11
OCCAM GLOBAL EMERGING MARKETS FUND CLASS A -23.38 13 Dec 11
JPMORGAN PORT. STRAT. FUNDS-EUROPE DYNAMIC 10.60 16 Dec 11
L/S FUND- EUR CHILTON CHINA OPPORTUNITIES FUND LTD -23.23 16 Dec 11
III RELATIVE VALUE CREDIT STRATEGIES FUND LTD 10.58 16 Dec 11 ODEY EUROPEAN, INC (EUR) -22.67 14 Dec 11
ENNISMORE EUROPEAN SMALLER COMPANIES 10.21 15 Dec 11 SR PHOENICIA INC CLASS -A- SERIES 1 -21.67 14 Dec 11
FINISTERRE SOVEREIGN DEBT FUND 9.92 30 Nov 11 SR GLOBAL FUND - B - ASIA (Real Perf) -21.46 14 Dec 11
CAZENOVE UK EQUITY ABSOLUTE RETURN FUND 9.92 30 Nov 11 SR GLOBAL FUND F - EUROPE (€) (Real Perf) -21.42 14 Dec 11
MARSHALL WACE - MW EUREKA A1 EUR 9.56 20 Dec 11 Source - HSBC Private Bank
III FUND LTD 9.36 16 Dec 11
Source - HSBC Private Bank
This ranking is for information only and should not be considered as exhaustive.
Past performance is not a guide to future performance Alternative 1
Investment Group
TOP BOTTOM
Investment Funds Return Date Investment Funds Return Date
VR GLOBAL OFFSHORE FUND LTD 58.35 31 Dec 10 GLC GESTALT EUROPE FUND, LTD A/1 -13.42 31 Dec 10
HENDERSON EUROPEAN ABS RETURN FD, LTD USD 41.65 31 Dec 10 CAZENOVE EURO EQ ABS RETURN FUND LIMITED -12.05 31 Dec 10
CLASS B
SENVEST PARTNERS, LTD - CLASS A 39.59 31 Dec 10
SR GLOBAL FUND C - INTERNATIONAL (Real Perf) -11.82 31 Dec 10
TULIP TREND FUND, LTD - A 38.39 31 Dec 10
GLC DIVERSIFIED FUND LTD -A- -11.56 31 Dec 10
THIRD POINT ULTRA 37.91 31 Dec 10
SOFAER CAPL ASIAN HEDGE FD (Net Index) -10.14 31 Dec 10
HENDERSON UK EQUITY L/S FUND LIMITED 35.91 31 Dec 10
INVESTCORP STONEWORKS GLOBAL MACRO FUND LTD -9.08 31 Dec 10
THIRD POINT OFFSHORE 33.75 31 Dec 10
CAZENOVE UK EQUITY ABSOLUTE RETURN FUND -8.62 31 Dec 10
MOORE EMERGING EQUITY L/S FUND LTD -A- 32.18 31 Dec 10
PMA CREDIT OPPORTUNITIES 04/04 -8.53 31 Dec 10
VISIUM CREDIT OPPORTUNITIES FUND 31.67 31 Dec 10
CAZENOVE UK ABSOLUTE TARGET FUND - P2 GBP -7.62 31 Dec 10
CQS DIRECTIONAL OPP. FUND. Ltd – 1A NI 31.45 31 Dec 10
RAB SPECIAL SITUATION FD LTD -7.59 31 Dec 10
KINETICS FUND, INC - A/A 30.80 31 Dec 10
DISCUS FEEDER LTD CL. B USD STANDARD LEVERAGE -6.67 31 Dec 10
EVEREST CAPITAL FRONTIER MARKETS 30.64 31 Dec 10
BOYER ALLAN GREATER CHINA FUND -6.31 31 Dec 10
JPMORGAN PORT. STRAT. FUNDS-EUROPE DYNAMIC 28.88 31 Dec 10
L/S FUND- EUR OCCAM GLOBAL EMERGING MARKETS FUND CLASS A -5.93 31 Dec 10
QFS CURRENCY FUND, LTD CLASS B SHARES (INDEX) 28.78 31 Dec 10 SR GLOBAL FUND H - JAPAN (Real Perf) -4.22 31 Dec 10
BLACKROCK OBSIDIAN FUND 28.71 31 Dec 10 TANTALLON FUND (THE) -3.54 31 Dec 10
ANTARES EUROPEAN FUNDS, LTD - USD 28.25 31 Dec 10 SIERRA EUROPE OFFSHORE, LTD - USD/A -3.08 31 Dec 10
ORTUS FUND (CAYMAN) LTD 27.89 31 Dec 10 OCTAGON PAN ASIA FUND -2.68 31 Dec 10
PALOMINO FUND LTD CLASS B ORIGINAL SERIES 27.86 31 Dec 10 POLLUX BRAZILIAN EQUITIES FUND -2.62 31 Dec 10
ELEMENT CAPITAL FUND 27.60 31 Dec 10 HIGHBRIDGE STATISTICAL OPP. LTD – CLASS A -2.39 31 Dec 10
MERCHANT COMMODITY FUND (THE) - COMPOSITE 27.40 31 Dec 10 SR PHOENICIA INC CLASS -A- SERIES 1 -1.87 31 Dec 10
Source - HSBC Private Bank Source - HSBC Private Bank
This ranking is for information only and should not be considered as exhaustive.
Past performance is not a guide to future performance Alternative 2
Investment Group
TOP BOTTOM
Investment Funds Return Date Investment Funds Return Date
SENVEST PARTNERS, LTD - CLASS A 229.09 31 Dec 09 HORSEMAN GLOBAL FUND USD -24.73 31 Dec 09
PALOMINO FUND LTD CLASS B ORIGINAL SERIES 129.54 31 Dec 09 TULIP TREND FUND, LTD - A -24.68 31 Dec 09
HENDERSON EUROPEAN ABS RETURN FD, LTD USD 110.93 31 Dec 09 BENNELONG ASIA PACIFIC MULTI STRATEGY EQ. FUND -20.16 31 Dec 09
LTD
JABCAP MULTI STRATEGY FUND LTD CLASS D/1 NI 85.11 31 Dec 09
SR GLOBAL FUND H - JAPAN (Real Perf) -18.52 31 Dec 09
VR GLOBAL OFFSHORE FUND LTD 82.53 31 Dec 09
MAN AHL DIVERSIFIED PLC -16.89 31 Dec 09
PHARO TRADING FUND 81.79 31 Dec 09
CONQUEST MACRO FUND, LTD (COMP) -14.12 31 Dec 09
GREEN II FUND-S/ 01.06 COMPOSITE 79.57 31 Dec 09
CAPITAL FUND, LTD (THE) -13.02 31 Dec 09
ELEMENT CAPITAL FUND 78.82 31 Dec 09
ASPECT DIVERSIFIED FUND - CLASS A -11.24 31 Dec 09
RAB GL. MINING & RESOURCES FUND LTD -B- 76.76 31 Dec 09
GROWTH MANAGEMENT LTD -8.34 31 Dec 09
CANYON BALANCED FUND LTD - CLASS A 75.67 31 Dec 09
KROM RIVER COMMODITY FUND -8.08 31 Dec 09
EVEREST CAPITAL ASIA 72.88 31 Dec 09
BLACKROCK 32 CAPITAL MASTER FUND SPC, LTD (THE) -7.66 31 Dec 09
LINDEN INTERNATIONAL LTD 72.86 31 Dec 09 - A/1
HABROK LTD 67.07 31 Dec 09 HSBC TRADING ADVANTEDGE FUND -7.51 31 Dec 09
DISCOVERY GLOBAL OPPORTUNITY FUND, LTD 64.98 31 Dec 09 RENAISSANCE INSTITUTIONAL EQUITIES LP (B) -6.17 31 Dec 09
LAZARD RATHMORE FUND - CLASS A-2 64.10 31 Dec 09 BORONIA DIVERSIFIED FUND MASTER -6.13 31 Dec 09
STONE LION FUND LTD CLASS A 63.71 31 Dec 09 WINTON EVOLUTION FUND (THE) -5.36 31 Dec 09
PARS IV OFFSHORE FUND II , CL. A/1 63.30 31 Dec 09 WINTON FUTURES FUND - CLASS B -4.63 31 Dec 09
PINPOINT CHINA FUND CLASS A USD 62.34 31 Dec 09 MARATHON VERTEX JAPAN FD, LTD CLASS B -4.12 31 Dec 09
HENDERSON UK EQUITY L/S FUND LIMITED 61.47 31 Dec 09 ELLERSTON GEMS - CLASS A -3.53 31 Dec 09
BAY RESOURCES PARTNERS OFFSHORE FUND 59.98 31 Dec 09 ZWEIG-DIMENNA INTL LIMITED - CLASS A -3.35 31 Dec 09
Source - HSBC Private Bank MLM MACRO PEAK PARTNERS OFFSH FD, LTD - B -2.95 31 Dec 09
Source - HSBC Private Bank
This ranking is for information only and should not be considered as exhaustive.
Past performance is not a guide to future performance Alternative 3
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Convertible
YTD Avg. 2011 (0.25%)
Ytd Avg. 2011
Convertible / Asia (4.64%)
CQS ASIA FEEDER FUND LTD- CLASS -B- 30 Apr 07 Q $180 M 1,176.62 16 Dec 11 0.14% (4.64%) 1,174.92 3.57% 9.13% (24.55%)
Michael Hintze, Jean-Christophe Blanc Aug 11 30 Nov 11 Oct 07 - Oct 08
Ytd Avg. 2011
Convertible / Global 0.90%
BASSO INVESTORS LTD 30 Sep 95 Q $373 M 5,786.86 16 Dec 11 0.15% 2.41% 5,778.19 11.43% 6.27% (25.00%)
Howard Fischer Dec 10 30 Nov 11 Dec 07 - Oct 08
CENTAUR COMMERCIAL MATERIALS FUND LTD 28 Feb 98 M $140 M 257.35 30 Nov 11 (0.33%) 4.86% 258.20 7.11% 5.58% (24.49%)
Carrigaholt Holdings Ltd Dec 11 31 Oct 11 May 07 - Nov 08
CQS CONV & QUANT STRATS FEED FD, LTD CLASS 29 Feb 00 M $643 M 2,690.24 09 Dec 11 0.09% (1.60%) 2,687.71 8.76% 8.73% (34.03%)
-A-N/R Nov 11 30 Nov 11 Oct 07 - Dec 08
Michael Hintze/ Oliver Dobbs
LAZARD RATHMORE FUND - CLASS A-2 31 May 07 Q/M $ 1'074 M 183.19 16 Dec 11 1.30% (2.08%) 180.84 14.24% 10.06% (16.23%)
Sean Reynolds, Christopher Sferruzzo Nov 11 30 Nov 11 Aug 08 - Nov 08
Ytd Avg. 2011
Convertible / USA (0.44%)
WATERSTONE MKT NEUT OS FUND, LTD 31 Jul 03 Q $1'810 M 217.09 16 Dec 11 0.41% (0.44%) 216.20 9.69% 10.96% (17.56%)
Shawn Bergerson Nov 11 30 Nov 11 Aug 08 - Oct 08
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 4
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Credit
YTD Avg. 2011 (0.06%)
Ytd Avg. 2011
Credit / Emerging 9.92%
FINISTERRE SOVEREIGN DEBT FUND 31 Mar 03 Q $531 M 239.69 30 Nov 11 0.78% 9.92% 237.83 10.60% 7.51% (21.00%)
Paul Crean and Xavier Corin-Mick Nov 11 31 Oct 11 Jun 08 - Oct 08
Ytd Avg. 2011
Credit / Global (0.69%)
BLUECREST MULTI STRATEGY CREDIT FUND 30 Nov 07 Q $1'204 M 139.39 16 Dec 11 2.06% (0.48%) 136.57 6.40% 6.47% (7.11%)
Bluecrest Capital Management LLP Mar 11 30 Nov 11 Apr 11 - Nov 11
BLUEMOUNTAIN CREDIT ALTERNATIVES FUND 31 Oct 03 Q $3'379 M 209.41 16 Dec 11 0.92% 4.40% 207.50 9.52% 6.85% (11.82%)
Andrew T. Feldstein Aug 11 30 Nov 11 Aug 08 - Dec 08
BREVAN HOWARD CREDIT CATALYSTS FUND LTD 31 Jul 09 M $ 1'928 M 134.63 30 Nov 11 (1.46%) 1.70% 136.62 13.59% 5.59% (4.60%)
CLASS A USD Sep 11 31 Oct 11 May 11 - Nov 11
DW Investment Management ,LP
CQS ABS FEEDER FUND - CLASS -B- 30 Sep 06 Q $1'901 M 3,991.70 30 Nov 11 0.43% 2.06% 3,974.45 30.70% 13.52% (3.86%)
Alistair Lumsden, Nov 11 31 Oct 11 Apr 07 - Jun 07
FEINGOLD OKEEFFE CAPITAL I OFFSHORE, LTD 31 Jul 02 Q $120 M 214.07 16 Dec 11 (0.30%) (10.24%) 214.71 8.45% 8.54% (29.78%)
Andrea S. Feingold & R. Ian O’Keeffe Dec 10 30 Nov 11 Jun 07 - Dec 08
GRACIE CREDIT OPPORTUNITIES L.P. 30 Jun 04 Q $2'053 M 212.89 31 Oct 11 (1.05%) 0.49% 215.15 10.84% 5.23% (4.17%)
James Palmisciano Mar 11 30 Sep 11 Mar 08 - Sep 08
GREEN T G2 FUND 28 Feb 99 Q $1'552 M 248.10 16 Dec 11 (0.14%) 1.00% 248.44 7.35% 3.75% (4.26%)
Darryl Green, Geoffrey Sherry Dec 10 30 Nov 11 Dec 03 - Jul 04
JCAM GLOBAL FUND LIMITED CLASS A 31 Dec 03 M $2'000 M 1,823.25 16 Dec 11 (1.36%) (9.89%) 1,848.31 7.83% 7.29% (14.85%)
Tim Leslie Nov 11 30 Nov 11 Feb 08 - Dec 08
MARINER-TRICADIA CREDIT STRATEGIES, LTD 31 Mar 05 Q $ 1'573 M 276.14 15 Dec 11 (0.20%) (1.10%) 276.69 16.34% 8.45% (10.77%)
Arif Inayatullah & Michael Barnes Oct 11 30 Nov 11 Jun 08 - Nov 08
PALOMINO FUND LTD CLASS B ORIGINAL SERIES 31 Dec 94 Y $4'912 M 4,976.35 30 Nov 11 (3.48%) (5.09%) 5,155.77 25.97% 21.06% (49.05%)
David Tepper Nov 11 31 Oct 11 Feb 98 - Sep 98
SABA CAPITAL OFFSHORE FUND LTD 31 Jul 09 Q $3'273 M 130.57 16 Dec 11 0.42% 9.11% 130.02 11.87% 2.50% (0.25%)
Saba Capital mgmt Dec 11 30 Nov 11 Apr 11 - May 11
VISIUM CREDIT OPPORTUNITIES FUND 30 Apr 09 Q $ 280 M 157.45 16 Dec 11 (0.12%) (0.28%) 157.64 18.84% 6.35% (5.95%)
Visium Asset Management Nov 11 30 Nov 11 Jun 11 - Oct 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 5
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Credit
YTD Avg. 2011 (0.06%)
Ytd Avg. 2011
Credit / USA (1.29%)
BRIGADE LEVERAGED CAPITAL STRUCTURES FUND 31 Dec 06 Q $4'910 M 1,411.30 16 Dec 11 (0.08%) 3.00% 1,412.43 7.19% 7.64% (19.42%)
Don Morgan Dec 11 30 Nov 11 Jun 08 - Dec 08
MKP CREDIT OFFSHORE FUND 28 Feb 99 Y/ Q $2'738 M 389.44 16 Dec 11 (0.41%) (5.57%) 391.04 11.20% 5.48% (9.03%)
Patrick McMahon and Anthony Lembke Sep 11 30 Nov 11 Feb 11 - Dec 11
Multi-Strategy
YTD Avg. 2011 (3.29%)
Ytd Avg. 2011
Multi-Strategy / Asia (3.29%)
PMA CREDIT OPPORTUNITIES 04/04 31 Mar 04 Y/Q $435 M 1,236.50 13 Dec 11 0.32% (3.29%) 1,232.57 2.79% 5.52% (21.74%)
Darryl Flint Aug 08 30 Nov 11 Aug 08 - Nov 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 6
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Distressed Security
YTD Avg. 2011 (2.45%)
Ytd Avg. 2011
Distressed Security / Europe (4.02%)
IRONSHIELD SPECIAL SITUATIONS FUND 31 Jul 07 Q $ 130 M 145.48 31 Oct 11 0.72% (2.67%) 144.44 9.21% 12.47% (16.83%)
Ironshield Capital Management LLP Jul 11 30 Sep 11 Oct 07 - Apr 09
KING STREET EUROPE LTD CLASS A 30 Jun 07 Q $ 559 M 136.29 16 Dec 11 0.16% (5.36%) 136.07 7.18% 7.61% (8.90%)
O. Francis Biondi, Jr., Brian J. Higgins Sep 11 30 Nov 11 May 11 - Nov 11
Ytd Avg. 2011
Distressed Security / Global (2.84%)
CANYON BALANCED FUND LTD - CLASS A 31 May 04 Q $1'500 M 2,319.26 30 Nov 11 0.10% (5.08%) 2,316.94 11.86% 11.50% (30.14%)
M.R. Julis & J.S. Friedman May 11 31 Oct 11 Oct 07 - Nov 08
CANYON VALUE REALIZATION FD, LTD - CLASS A 31 Dec 94 Q $6'410 M 5,484.77 30 Nov 11 (0.30%) (4.81%) 5,501.28 10.58% 8.82% (28.82%)
M.R. Julis & J.S. Friedman Apr 11 31 Oct 11 Oct 07 - Nov 08
CERBERUS INTL. LTD 31 May 93 Q $1'878 M 674,117.42 31 Oct 11 2.39% 7.43% 658,382.09 10.91% 5.33% (22.26%)
Steve Feinberg Sep 11 30 Sep 11 May 08 - Feb 09
DAVIDSON KEMPNER DIST. OPP. INT. LTD - CLASS C 31 Mar 05 Y $820 M 1,893.40 30 Nov 11 (0.71%) (3.19%) 1,906.94 10.04% 11.31% (25.73%)
TRN 1 - Dec 10 31 Oct 11 Oct 07 - Nov 08
Anthony A. Yoseloff, Avi Z. Friedman and Conor Bastable
KING STREET CAPITAL, LTD 31 Dec 96 Q $12'200 M 477.60 16 Dec 11 0.38% (1.73%) 475.79 11.01% 4.22% (5.35%)
O. Francis Biondi Jr & Brian J. Higgins Jul 11 30 Nov 11 May 11 - Nov 11
LC CAPITAL OFFSHORE FUND, LTD 30 Sep 99 Y/Q $204 M 340.25 30 Nov 11 (0.62%) 0.49% 342.38 10.58% 9.10% (34.48%)
Steven G Lampe & Richard F Conway Oct 11 31 Oct 11 Jun 07 - Feb 09
MONARCH DEBT RECOVERY FUND LTD 31 Mar 02 Y $ 946 M 2,941.62 31 Oct 11 0.31% 0.84% 2,932.53 11.91% 8.76% (33.02%)
Michael Weinstock, Andrew Herenstein Dec 10 30 Sep 11 Oct 07 - Dec 08
PAULSON CREDIT OPPORTUNITIES LTD 30 Jun 06 Y $4'987 M 1,276.49 30 Nov 11 (3.55%) (18.02%) 1,323.48 59.95% 48.54% (24.80%)
John Paulson Nov 11 31 Oct 11 Apr 11 - Sep 11
SILVER POINT CAPITAL OFFSHORE LTD 31 Dec 01 Q $4'438 M 3,144.98 15 Dec 11 0.95% 4.17% 3,115.39 12.19% 9.07% (35.48%)
Silver Point Capital Offshore Ltd Sep 10 30 Nov 11 Jun 07 - Dec 08
STONE LION FUND LTD CLASS A 31 Oct 08 Q $ 743 M 1,747.08 20 Dec 11 1.22% (0.66%) 1,726.02 19.46% 10.68% (8.74%)
Greg Hanley and Alan Mintz Aug 11 30 Nov 11 Apr 11 - Sep 11
STRATEGIC VALUE RESTRUCTURING FUND 31 Aug 02 Q/Y $1'622 M 256.78 16 Dec 11 (1.54%) (10.64%) 260.79 10.67% 8.25% (24.47%)
Victor Khosla Mar 11 30 Nov 11 May 07 - Jan 09
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 7
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Distressed Security
YTD Avg. 2011 (2.45%)
Ytd Avg. 2011
Distressed Security / USA (0.60%)
BEACH POINT TOTAL RETURN OFFSHORE FUND II, 30 Jun 96 Q $ 496 M 486.38 15 Dec 11 (0.39%) (1.80%) 488.28 10.77% 8.64% (24.04%)
LTD Jan 10 30 Nov 11 Oct 07 - Dec 08
Carl Goldsmith, Scott Klein,
BTG PACTUAL DISTRESSED MORTGAGE FUND 28 Feb 10 Q $ 168 M 112.52 30 Nov 11 (0.16%) (4.29%) 112.70 6.95% 8.90% (12.88%)
BTG Pactual Global Asset Management Nov 11 31 Oct 11 Apr 11 - Nov 11
HALCYON OFF. ASSET-BACKED VALUE FUND LTD 30 Nov 05 Q $1'705 M 2,211.56 15 Dec 11 0.05% 4.44% 2,210.46 14.03% 6.08% (13.32%)
Joseph Wolnick ,Joseph Godley and Jim Coppola Sep 11 30 Nov 11 Aug 08 - Mar 09
SOMERSET SPECIAL OPPORTUNITIES FUND LP 31 Jul 07 Q $ 200 M 151.86 31 Oct 11 6.23% (0.75%) 142.95 10.32% 13.22% (25.61%)
Robert Feingold Aug 11 30 Sep 11 Aug 08 - Mar 09
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 8
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Commodity
YTD Avg. 2011 (4.15%)
Ytd Avg. 2011
Equity-Commodity / Global (4.15%)
GEOSPHERE DIRECTIONAL FUND LTD 31 Dec 09 Q $ 191M 101.21 16 Dec 11 (3.45%) (7.51%) 104.82 0.61% 11.13% (11.80%)
Arvind Sanger and Prashant Kothari Nov 11 30 Nov 11 Jul 11 - Sep 11
GEOSPHERE FUND, LTD 30 Jun 07 Q $ 305 M 122.10 16 Dec 11 (1.62%) (1.17%) 124.11 4.57% 7.88% (15.83%)
Arvind Sanger and Prashant Kothari Nov 11 30 Nov 11 Jun 08 - Oct 08
MARTIN CURRIE ARF - GLOBAL RESOURCES 30 Sep 03 M $146 M 17.10 19 Dec 11 (3.61%) (12.26%) 17.74 6.74% 10.27% (20.24%)
Chris Butler / Duncan Goodwin Nov 11 30 Nov 11 Jun 08 - Dec 11
OCEANIC HEDGE FUND - CLASS A 31 Jul 02 M $1'453 M 3,115.76 16 Dec 11 (2.26%) 4.34% 3,187.81 12.88% 8.34% (8.26%)
Cato Brahde, Andreas Vergottis, Bjorn Rise Sep 11 30 Nov 11 Jan 10 - Jun 10
Equity-Diversified
YTD Avg. 2011 (7.41%)
Ytd Avg. 2011
Equity-Diversified / Asia (9.88%)
BOYER ALLAN GREATER CHINA FUND 31 Oct 06 M $ 15 M 186.53 16 Dec 11 (0.85%) (8.56%) 188.12 12.93% 18.22% (24.83%)
Boyer Allan Investment Management LLP Oct 11 30 Nov 11 Oct 07 - Oct 08
BOYER ALLAN PACIFIC FUND INC-A- 16 Nov 98 M $ 235 M 633.91 16 Dec 11 (0.39%) (18.97%) 636.38 15.15% 21.71% (44.65%)
J. Boyer & N. Allan Nov 11 30 Nov 11 Oct 07 - Nov 08
CHILTON CHINA OPPORTUNITIES FUND LTD 31 Dec 06 Q $ 400 M 165.74 16 Dec 11 (0.86%) (23.23%) 167.18 10.72% 18.90% (25.66%)
Chilton Investments Co., Inc. Nov 11 30 Nov 11 Oct 10 - Dec 11
COREVEST PARTNERS LTD 31 Dec 98 Y/Q $48 M 7,226.74 30 Nov 11 4.28% (15.71%) 6,929.94 16.54% 25.19% (28.80%)
Kyung Hwa Paik Nov 11 31 Oct 11 Apr 08 - Oct 11
ELLERSTON ASIA PACIFIC FUND 31 Aug 07 Q $1'664 M 100.98 15 Dec 11 (0.38%) (8.07%) 101.37 0.23% 9.01% (17.60%)
Ashok Jacob Aug 11 30 Nov 11 Oct 07 - Feb 09
EVEREST CAPITAL ASIA 31 Dec 05 Q $ 215 M 198.78 30 Nov 11 (8.20%) (9.27%) 216.54 12.31% 20.87% (43.59%)
Everest Capital Limited Sep 11 31 Oct 11 Oct 07 - Feb 09
HT ASIAN CATALYST FUND LLC 31 Dec 98 M $467 M 17.30 30 Nov 11 (1.86%) (10.55%) 17.63 11.05% 12.15% (23.93%)
Ms. Ophelia Tong Aug 11 31 Oct 11 Mar 00 - Mar 01
JOHO FUND, LTD-A- 31 Oct 96 S $2'075 M 1,312.97 16 Dec 11 (0.38%) (0.33%) 1,317.98 20.31% 16.63% (19.38%)
Robert Karr Nov 11 30 Nov 11 Nov 07 - Nov 08
NEZU CYCLICALS FUND LTD 31 Jul 05 Q $367 M 193.13 16 Dec 11 (2.94%) (6.18%) 198.98 10.87% 13.56% (25.06%)
Fuyuki Fujiwara Dec 11 30 Nov 11 Oct 07 - Feb 09
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 9
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Diversified
YTD Avg. 2011 (7.41%)
Ytd Avg. 2011
Equity-Diversified / Asia (9.88%)
OCTAGON PAN ASIA FUND 30 Sep 04 M $136 M 188.86 30 Nov 11 0.15% (4.98%) 188.58 9.27% 9.51% (10.69%)
Poh Min Lam & Nelson Chia Oct 11 31 Oct 11 Oct 07 - Jan 09
PINPOINT CHINA FUND CLASS A USD 31 May 05 M $584 M 633.11 16 Dec 11 (0.69%) 1.34% 637.51 32.55% 23.07% (42.16%)
Qiang Wang Aug 11 30 Nov 11 Oct 07 - Nov 08
REAL RETURN ASIAN FUND LTD (THE) 30 Sep 04 M $882 M 229.34 16 Dec 11 (1.31%) (9.12%) 232.38 12.19% 10.66% (14.81%)
Ezra Sun Sep 11 30 Nov 11 Oct 07 - Oct 08
SOFAER CAPL ASIAN HEDGE FD (Net Index) 31 Mar 89 M $120 M 1,101.37 30 Nov 11 (0.16%) (6.00%) 1,103.13 11.16% 15.94% (35.36%)
Terence Khoo / Terence Lim Jun 07 31 Oct 11 Mar 00 - Mar 03
SR GLOBAL FUND - B - ASIA (Real Perf) 31 Dec 93 M $1'400 M 619.29 14 Dec 11 (1.50%) (21.46%) 628.72 14.87% 19.05% (36.50%)
Richard Chenevix-Trench Mar 11 30 Nov 11 Feb 98 - Nov 98
TANTALLON FUND (THE) 31 Oct 03 M $61 M 17.53 16 Dec 11 (0.28%) (8.12%) 17.58 7.15% 13.91% (36.61%)
Nicholas Harbinson / Alex Hill Sep 11 30 Nov 11 Oct 07 - Jan 09
WF ASIA FUND LTD S/1 31 Jan 01 M $215 M 276.31 16 Dec 11 (2.74%) (8.90%) 284.10 9.79% 14.03% (37.65%)
Scobie Ward Oct 11 30 Nov 11 Oct 07 - Nov 08
Ytd Avg. 2011
Equity-Diversified / Emerging (13.70%)
ADELPHI EMERGING EUROPE. FUND USD SHARES 31 Mar 07 Q $221 M 133.96 16 Dec 11 (2.72%) (16.18%) 137.70 6.40% 14.46% (28.62%)
Lars Dollmann Jan 11 30 Nov 11 May 08 - Jan 09
EVEREST CAPITAL FRONTIER MARKETS 31 Jul 08 Q $ 145 M 113.53 30 Nov 11 (3.70%) (16.89%) 117.90 3.88% 16.01% (25.56%)
Everest Capital Limited Nov 11 31 Oct 11 Jul 08 - Feb 09
FIREBIRD NEW RUSSIA FUND, LTD - CLASS A 30 Jun 96 Q $189 M 2,122.84 16 Dec 11 (5.56%) (14.73%) 2,247.81 21.83% 41.42% (81.79%)
Harvey Sawikin & Ian Hague Oct 11 30 Nov 11 Mar 98 - Sep 98
FIREBIRD REPUBLICS FUND, LTD 30 Apr 97 Q $175 M 807.60 16 Dec 11 (5.50%) (20.60%) 854.60 15.34% 31.99% (73.20%)
Harvey Sawikin & Ian Hague Oct 11 30 Nov 11 Sep 97 - Jan 99
GROWTH MANAGEMENT LTD 31 May 98 M $203 M 377.23 30 Nov 11 1.02% (4.04%) 373.43 10.33% 7.10% (27.48%)
Stephan Pinter jul 11 31 Oct 11 Jun 08 - Sep 11
HSBC GIF GEM EQUITY ABSOLUTE RETURN INSTIT. 31 Mar 10 D $30 M 10.03 14 Dec 11 (1.97%) (3.42%) 10.23 0.18% 8.68% (9.31%)
SHS Apr 11 30 Nov 11 Mar 11 - Sep 11
Nick Timberlake & Omar Negyal
HSBC INDIA ALPHA FUND 31 Mar 07 M $168 M 111.11 16 Dec 11 (2.65%) (19.08%) 114.14 2.26% 16.60% (34.72%)
Sanjiv Duggal, Nilang Mehta , Viresh Mehta May 11 30 Nov 11 Dec 07 - Nov 08
KALTCHUGA FUND - RUSSIA EQ. SUB-FUND -$- 15 Nov 00 BM $49 M 7,017.38 16 Dec 11 (11.05%) (21.30%) 7,889.53 19.21% 35.62% (81.80%)
J-L. Tauvy jun 10 30 Nov 11 Dec 07 - Jan 09
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 10
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Diversified
YTD Avg. 2011 (7.41%)
Ytd Avg. 2011
Equity-Diversified / Emerging (13.70%)
MOORE EMERGING EQUITY L/S FUND LTD -A- 31 Mar 09 M $582 M 1,460.91 15 Dec 11 (0.10%) (6.50%) 1,462.33 15.02% 12.92% (9.72%)
Greg Coffey Mar 11 30 Nov 11 Apr 11 - Sep 11
OCCAM GLOBAL EMERGING MARKETS FUND CLASS 30 Apr 09 D $107 M 8.88 13 Dec 11 (3.58%) (23.38%) 9.21 (4.94%) 18.23% (31.07%)
A Jul 11 30 Nov 11 Oct 09 - Sep 11
Eoghan Flanagan & James Mellersh
OCCO EASTERN EUROPEAN FUND 31 Dec 01 Y/Q $441 M 330.87 16 Dec 11 1.04% 5.95% 327.46 12.76% 8.06% (20.86%)
Pawel Szulc & Andrew Wiles Nov 11 30 Nov 11 Jun 08 - Oct 08
PICTET-EASTERN EUROPE-P CAP 30 Sep 99 W $333 M 295.96 21 Dec 11 (2.98%) (26.95%) 305.06 12.66% 30.18% (75.54%)
Y. Ostrowsky Nov 11 30 Nov 11 Dec 07 - Feb 09
POLLUX BRAZILIAN EQUITIES FUND 31 Oct 07 M $ 184 M 136.95 16 Dec 11 0.11% 0.57% 136.80 7.91% 9.11% (9.59%)
Pollux Capital Mar 11 30 Nov 11 May 08 - Oct 08
SR GLOBAL FUND G - EMERGING MKTS (Real Perf) 29 Feb 96 M $2'650 M 1,143.95 14 Dec 11 (3.10%) (17.28%) 1,180.55 20.76% 18.78% (37.25%)
Richard Chenevix-Trench Mar 11 30 Nov 11 Oct 07 - Feb 09
SR PHOENICIA INC CLASS -A- SERIES 1 31 Jul 01 M $450 M 367.62 14 Dec 11 (2.16%) (21.67%) 375.74 13.37% 19.50% (56.02%)
George Robinson Mar 11 30 Nov 11 Oct 07 - Feb 09
Ytd Avg. 2011
Equity-Diversified / Europe (5.77%)
ADELPHI EUR. FUND $ (A) 30 Sep 97 Q $871 M 352.77 16 Dec 11 (1.07%) (5.09%) 356.58 9.27% 12.22% (26.28%)
Roderick Jack Jan 11 30 Nov 11 May 07 - Feb 09
ALPHAGEN CAPELLA FUND-A- 31 Oct 99 M $66 M 363.26 16 Dec 11 (0.27%) (2.30%) 364.25 11.22% 7.63% (6.03%)
John Bennett, Tomás Pintó & Léopold Arminjon Sep 11 30 Nov 11 May 07 - Sep 08
ALPHAGEN TUCANA 31 Dec 04 M $53 M 187.48 16 Dec 11 (0.09%) 1.12% 187.65 9.45% 10.48% (28.68%)
John Bennett, Tomás Pintó & Léopold Arminjon Sep 11 30 Nov 11 Oct 07 - Dec 08
ANTARES EUROPEAN FUNDS, LTD - USD 08 Dec 98 M € 169 M 419.23 16 Dec 11 0.83% (10.71%) 415.77 11.63% 16.08% (32.68%)
Luca Orsini Jul 10 30 Nov 11 Jun 07 - Dec 08
CAZENOVE EURO EQ ABS RETURN FUND LIMITED 30 Nov 03 M €163 M 1,435.38 30 Nov 11 (3.88%) 0.28% 1,493.32 4.62% 5.81% (17.67%)
CLASS B May 11 31 Oct 11 Oct 08 - Aug 11
Chris Rice, Steve Cordell
EEA EUROPE LONG SHORT FUND -USD-NI 31 Jul 09 M $ 153 M 109.13 30 Nov 11 1.54% (9.41%) 107.48 4.20% 16.54% (14.97%)
John Hobson Oct 11 31 Oct 11 Sep 09 - Jun 10
EGERTON EUROPEAN DOLLAR CLASS -A- 30 Nov 94 M $1'367 M 101.69 16 Dec 11 (2.12%) (5.73%) 103.89 14.57% 10.37% (29.18%)
John C. Armitage Oct 11 30 Nov 11 Oct 07 - Jan 09
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 11
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Diversified
YTD Avg. 2011 (7.41%)
Ytd Avg. 2011
Equity-Diversified / Europe (5.77%)
GRADIENT EUROPE FUND (THE) 30 Nov 01 Q €89 M 94.03 30 Nov 11 (3.63%) (16.57%) 97.57 (0.61%) 29.08% (82.25%)
I. Farman & S. Pagel Dec 08 31 Oct 11 Jun 07 - Jan 09
HABROK LTD 31 Mar 04 Q $1'030 M 227.11 30 Nov 11 (1.11%) (13.08%) 229.66 11.28% 16.28% (38.24%)
Leif Christian Kvaal Nov 11 31 Oct 11 May 08 - Jan 09
HENDERSON EUROPEAN ABS RETURN FD, LTD USD 31 May 01 M $116 M 346.98 16 Dec 11 (0.67%) (42.80%) 349.33 12.51% 19.67% (47.67%)
Stephen Peak Nov 11 30 Nov 11 Feb 08 - Nov 08
HSBC ALPHA FUND LTD - HSBC EUROPEAN 30 Nov 07 M $427 M 152.91 09 Dec 11 (0.78%) 4.14% 154.11 11.12% 5.88% (5.07%)
LEVERED ALPHA FUND EUR Feb 11 30 Nov 11 Jun 08 - Sep 08
Jakob Nordestedt, Michael O’Mara
HSBC EUROPEAN ALPHA FUND -EUR 31 Dec 02 M $461 M 170.79 16 Dec 11 (0.54%) 0.95% 171.72 6.15% 2.56% (1.34%)
Jakob Nordestedt, & Michael O'Mara Jun 11 30 Nov 11 May 09 - Jul 09
JPMORGAN PORT. STRAT. FUNDS-EUROPE 30 Sep 03 M $384 M 385.36 16 Dec 11 1.21% 10.60% 380.76 17.84% 8.67% (16.39%)
DYNAMIC L/S FUND- EUR Nov 11 30 Nov 11 Jun 08 - Nov 09
Jonathan Ingram, John Baker, Anis Lahlou-Abid, J.P.
Morgan Asset Management
LANSDOWNE EURO EQTY FD, LTD - A (EUR) 31 Aug 98 M $730 M 166.68 16 Dec 11 (0.20%) (13.94%) 167.01 9.29% 11.96% (21.60%)
P. Ruddock & S. Heinz Nov 11 30 Nov 11 May 08 - Feb 09
MARSHALL WACE - MW CORE A USD 31 Oct 06 M $932 M 120.67 20 Dec 11 0.22% 4.96% 120.40 3.72% 10.37% (26.47%)
Ernesto Fragomeni Sep 11 30 Nov 11 Jun 07 - Sep 08
MARSHALL WACE - MW EUROPEAN TOPS A EUR 31 Dec 04 M $455 M 156.61 20 Dec 11 (0.82%) 3.68% 157.91 6.65% 8.51% (21.75%)
Anthony Clake Sep 11 30 Nov 11 Oct 07 - Feb 09
MARTIN CURRIE EUROPEAN HEDGE FUND CLASS 31 Dec 00 M $106 M 220.07 09 Dec 11 (1.48%) (9.17%) 223.38 5.99% 7.61% (11.03%)
-B- Nov 11 30 Nov 11 Jun 08 - Feb 09
Michael Browne & Steve Frost
MBAM ACTIVE LONG SHORT 31 Jul 10 M $622 M 108.34 16 Dec 11 (1.14%) (0.20%) 109.59 5.98% 4.19% (1.81%)
Hilton Nathanson Nov 11 30 Nov 11 Dec 10 - May 11
NORDIC ALPHA CLASS B - NOK 31 Aug 03 M $130 M 157.66 30 Nov 11 (1.33%) (16.00%) 159.79 5.68% 12.06% (32.36%)
Thomas Raaschou, Christian T. Nygaard Nov 11 31 Oct 11 Dec 07 - Feb 09
ODEY EUROPEAN, INC (EUR) 31 May 92 W $2'356 M 539.18 14 Dec 11 (5.34%) (22.67%) 569.60 12.81% 16.30% (50.64%)
Crispin Odey Apr 11 30 Nov 11 Jan 94 - Jul 95
PELHAM LONG/SHORT FUND LTD CLASS A EUR 31 Oct 07 M € 888 M 123.04 30 Nov 11 (2.30%) (9.00%) 125.94 5.21% 10.90% (12.25%)
Ross Turner Oct 11 31 Oct 11 May 08 - Dec 08
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 12
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Diversified
YTD Avg. 2011 (7.41%)
Ytd Avg. 2011
Equity-Diversified / Europe (5.77%)
PENSATO EUROPA FUND LTD EURO CLASS 31 May 08 M €172 M 116.49 30 Nov 11 (2.10%) (0.81%) 118.99 4.45% 5.88% (5.40%)
Graham Clapp & Edward Rumble Oct 11 31 Oct 11 Jun 08 - Sep 08
POLAR CAPITAL EUROP CONVICTION FUND LIMITED 31 Mar 06 M €91 M 142.64 16 Dec 11 (2.84%) 4.50% 146.81 6.41% 9.43% (5.84%)
Robert Gurner Nov 11 30 Nov 11 May 11 - Aug 11
SIERRA EUROPE OFFSHORE, LTD - USD/A 28 Feb 97 M $122 M 445.25 09 Dec 11 0.55% 4.91% 442.81 10.63% 9.30% (16.98%)
Charles Michaels Jul 11 30 Nov 11 Mar 00 - Jan 03
SR GLOBAL FUND F - EUROPE (€) (Real Perf) 31 Dec 95 M $60 M 212.36 14 Dec 11 (1.60%) (21.42%) 215.81 10.78% 18.68% (47.97%)
Rupert Dyson Mar 11 30 Nov 11 Jun 07 - Feb 09
THEOREMA EUROPE FUND LTD A/1 EUR 31 May 01 M $ 279 M 196.89 16 Dec 11 0.27% 0.15% 196.36 6.63% 5.56% (6.25%)
G. Govi & P. Mortarotti, Feb 11 30 Nov 11 Aug 08 - Jul 09
THEOREMA EUROPE FUND PLUS LTD B/1 USD 31 Aug 04 M $115 M 234.62 16 Dec 11 0.64% 0.17% 233.13 12.40% 12.91% (13.96%)
G. Govi & P. Mortarotti Jun 11 30 Nov 11 Aug 08 - Jul 09
ZADIG FUND CLASS A1 30 Nov 05 M €343 M 186.00 16 Dec 11 (0.61%) 1.92% 187.15 10.81% 12.37% (19.14%)
Laurent Saglio Oct 11 30 Nov 11 Aug 08 - Oct 08
Ytd Avg. 2011
Equity-Diversified / Global (5.97%)
ELLERSTON GEMS - CLASS A 30 Apr 06 Q $1'433 M 94.64 15 Dec 11 (0.68%) (13.22%) 95.29 (0.97%) 10.15% (34.38%)
Ashok Jacob Sep 11 30 Nov 11 Jul 07 - Feb 10
EXANE TEMPLIERS FUND 28 Feb 06 w € 673 M 17,133.17 20 Dec 11 (1.30%) 0.16% 17,358.45 6.94% 3.26% (2.26%)
Jean-Francois Roussel, Stéphane Arrouays, Henri-Daniel Nov 11 30 Nov 11 Apr 11 - Aug 11
Samama, Exane Asset Management
GLENROCK GLOBAL PARTNERS (BVI) INC 31 May 94 M $ 344 M 2,421.86 30 Nov 11 (0.80%) (8.80%) 2,441.39 5.18% 14.55% (38.76%)
Michael Katz Nov 11 31 Oct 11 Jul 96 - Jan 99
HORSEMAN GLOBAL FUND USD 31 Jan 01 M $127 M 378.47 21 Dec 11 0.47% (3.18%) 376.71 13.00% 17.15% (33.75%)
Russell Clark Nov 11 30 Nov 11 Feb 09 - Jun 10
M. KINGDON OFFSHORE NV - A/1 28 Feb 86 Q $2'017 M 108.60 16 Dec 11 (0.77%) (19.18%) 109.45 14.92% 13.03% (30.15%)
Mark Kingdon Sep 11 30 Nov 11 Sep 87 - Oct 87
MARSHALL WACE - MW EUREKA A1 EUR 07 Jan 98 M $1'591 M 299.90 20 Dec 11 (0.23%) 9.56% 300.60 13.51% 9.65% (23.24%)
Paul Marshall Sep 11 30 Nov 11 Oct 07 - Oct 08
MARSHALL WACE - MW GLOBAL OPPORTUNITIES A 28 Feb 09 M $474 M 184.18 20 Dec 11 (0.94%) 27.02% 185.93 24.29% 11.29% (4.70%)
USD Sep 11 30 Nov 11 Mar 10 - May 10
Fehim Sever
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 13
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Diversified
YTD Avg. 2011 (7.41%)
Ytd Avg. 2011
Equity-Diversified / Global (5.97%)
MAVERICK FUND, LTD - CLASS A/1 28 Feb 95 M $1'085 M 999.43 16 Dec 11 (3.08%) (14.81%) 1,031.19 11.92% 11.90% (30.04%)
Lee Ainslie III Apr 11 30 Nov 11 May 08 - Nov 08
NEVSKY FUND PLC (COMPOSITE) 30 Sep 00 M $797 M 974.96 09 Dec 11 1.04% 0.27% 964.92 22.55% 14.46% (22.14%)
Martin Taylor and Nick Barnes Aug 11 30 Nov 11 Oct 07 - Feb 09
PLATINUM FUND LTD 31 May 94 M $546 M 62.57 16 Dec 11 (2.60%) (14.46%) 64.24 11.01% 12.32% (30.48%)
Kerr Neilson Nov 11 30 Nov 11 Oct 07 - Feb 09
RAB GL. MINING & RESOURCES FUND LTD -B- 31 Oct 07 M $82 M 92.33 15 Dec 11 (4.51%) (26.35%) 96.69 (1.89%) 25.36% (53.66%)
Philip Richards Jan 11 30 Nov 11 May 08 - Nov 08
SR GLOBAL FUND C - INTERNATIONAL (Real Perf) 31 Dec 93 M $1'300 M 446.05 14 Dec 11 (1.80%) (24.11%) 454.23 12.34% 21.71% (45.08%)
Hugh Sloane Mar 11 30 Nov 11 Dec 99 - Jul 01
STANDARD PACIFIC CAPITAL -B- 30 Sep 95 Q $1'789 M 451.66 30 Nov 11 (1.46%) (3.68%) 458.36 9.77% 8.15% (9.67%)
Doug Dillard and Raj Venkatesan Nov 11 31 Oct 11 Jul 11 - Nov 11
VIKING GLOBAL EQUITIES III LTD-A/1E 30 Sep 99 Y $8'112 M 8,311.20 16 Dec 11 (0.57%) 7.22% 8,358.86 18.92% 10.33% (11.93%)
Andreas Halvorsen Sep 11 30 Nov 11 Sep 01 - Mar 02
Ytd Avg. 2011
Equity-Diversified / Japan (8.26%)
ALPHAGEN HOKUTO FUND LTD - CLASS A 31 Oct 00 M $421 M 196.73 16 Dec 11 (0.37%) 0.20% 197.46 6.27% 4.31% (2.74%)
John Stewart & Robert Tull Sep 11 30 Nov 11 Jul 08 - Oct 08
ARCUS JAPAN FUND -JPY- 31 Mar 99 D $2'566 M 26,524.00 21 Dec 11 0.96% (5.22%) 26,273.00 7.96% 15.68% (45.94%)
Robert Macrae Nov 11 30 Nov 11 Feb 07 - Feb 09
BLUE SKY JAPAN LTD - CLASS A 30 Jun 00 M $78 M 182.49 30 Nov 11 (1.35%) (24.62%) 184.99 4.31% 23.91% (62.23%)
Michael Hill Apr 10 31 Oct 11 Dec 05 - Nov 11
GAM JAPAN EQUITY HEDGE FUND 31 May 98 W $1'502 M 115.79 19 Dec 11 (1.38%) (9.16%) 117.41 1.09% 13.57% (52.04%)
Lesley Kaye Mar 11 30 Nov 11 Jun 07 - Feb 09
HENDERSON JAPAN ABS RETURN FD, LTD 30 Jun 00 M $364 M 215.38 16 Dec 11 1.00% (8.21%) 213.24 6.92% 9.73% (18.31%)
William Garnett and Jeremy Hall Nov 11 30 Nov 11 Apr 06 - Mar 08
MARATHON VERTEX JAPAN FD, LTD CLASS B 31 May 03 Q $654 M 1,905.24 16 Dec 11 1.37% 0.01% 1,879.57 7.83% 7.78% (11.76%)
William Arah Sep 11 30 Nov 11 Jun 09 - Oct 10
MARTIN CURRIE ARF - JAPAN FUND 30 Jun 00 M $199 M 16.92 19 Dec 11 (1.30%) (8.89%) 17.14 4.69% 7.69% (12.44%)
John-Paul Temperley Nov 11 30 Nov 11 Jul 08 - Jan 09
SR GLOBAL FUND H - JAPAN (Real Perf) 30 Sep 03 M $95 M 83.50 14 Dec 11 (2.10%) (10.17%) 85.29 (1.80%) 19.68% (35.95%)
Hugh Sloane Dec 09 30 Nov 11 Mar 08 - Dec 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 14
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Diversified
YTD Avg. 2011 (7.41%)
Ytd Avg. 2011
Equity-Diversified / UK (8.99%)
ALPHAGEN OCTANIS CLASS A 28 Feb 05 M $574 M 195.40 16 Dec 11 (0.44%) (0.62%) 196.27 10.35% 6.78% (10.72%)
Ben Wallace & Luke Newman Sep 11 30 Nov 11 May 07 - Mar 08
BLACKROCK UK EQUITY HEDGE FUND 30 Apr 05 M $525 M 177.69 30 Nov 11 0.38% 2.32% 177.02 9.12% 6.48% (11.70%)
Nigel Ridge & Imran Sattar Nov 11 31 Oct 11 Jun 08 - Oct 08
CAZENOVE UK EQUITY ABSOLUTE RETURN FUND 31 Oct 03 M £36 M 1,498.22 30 Nov 11 1.08% 9.92% 1,482.25 5.13% 4.53% (10.86%)
Steven Cordell May 11 31 Oct 11 Sep 09 - Dec 10
HENDERSON UK EQUITY L/S FUND LIMITED 30 Jun 03 M $ 37 M 182.74 16 Dec 11 (2.51%) (31.02%) 187.44 7.38% 18.82% (41.35%)
Stephen Peak Nov 11 30 Nov 11 Jan 11 - Sep 11
LANSDOWNE UK EQUITY FUND, LTD (£) 31 Jul 01 M $6'333 M 384.72 16 Dec 11 (0.89%) (20.15%) 388.16 13.86% 11.11% (20.15%)
P. Ruddock & S. Heinz Nov 11 30 Nov 11 Dec 10 - Dec 11
POLAR CAPITAL UK ABSOLUTE RETURN FUND 31 May 08 Daily £ 69 M 9.53 21 Dec 11 (1.95%) (14.38%) 9.72 (1.34%) 9.89% (15.00%)
UCITS III GBP Aug 09 30 Nov 11 Dec 10 - Sep 11
Polar Capital LLP
Ytd Avg. 2011
Equity-Diversified / USA (2.97%)
AJR INTERNATIONAL (BVI), INC. - A/1 31 Jan 93 M $445 M 951.05 16 Dec 11 (4.19%) (7.45%) 992.63 12.67% 19.85% (44.44%)
Alexander J. Roepers Apr 10 30 Nov 11 May 08 - Dec 08
ALLIANCE BERNSTEIN SELECT US EQUITY LONG 30 Nov 99 Y/Q $193 M 3,588.68 20 Dec 11 (0.07%) 0.38% 3,591.32 11.17% 7.54% (9.98%)
SHORT Jul 11 30 Nov 11 May 08 - Feb 09
Kurt Feuerman
ALYDAR FUND LTD 28 Feb 03 Q $1'050 M 193.78 30 Nov 11 (2.00%) 0.12% 197.73 7.84% 4.67% (5.40%)
John Murphy Feb 11 31 Oct 11 Jul 08 - Nov 08
ALYSHEBA FUND LIMITED 31 Mar 05 Q $475 M 2,424.40 16 Dec 11 (1.40%) 3.14% 2,458.82 14.10% 13.90% (25.80%)
John A. Murphy, Philip C. Furse Jul 10 30 Nov 11 May 08 - Nov 08
ASCEND PARTNERS FUND II LTD - A 31 Jan 04 Q $1'321 M 170.19 16 Dec 11 (0.10%) (2.94%) 170.36 6.98% 4.74% (5.31%)
Malcolm Fairbairn Oct 10 30 Nov 11 Apr 11 - Dec 11
AVESTA FUND LTD A/1 31 Aug 02 M $509 M 1,834.92 16 Dec 11 (0.50%) (5.79%) 1,844.23 6.75% 7.51% (9.98%)
Bill Tung Oct 11 30 Nov 11 Apr 11 - Dec 11
BAY RESOURCES PARTNERS OFFSHORE FUND 31 Jul 98 M $2'490 M 7,750.79 30 Nov 11 (0.80%) (9.13%) 7,813.29 16.59% 16.86% (38.76%)
Thomas Claugus Nov 11 31 Oct 11 May 08 - Feb 09
CASTLEROCK FUND LTD 31 Aug 96 Q $90 M 692.01 30 Nov 11 (1.25%) (21.28%) 700.77 13.52% 17.49% (37.70%)
Paul Tanico Sep 11 31 Oct 11 May 01 - Feb 03
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 15
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Diversified
YTD Avg. 2011 (7.41%)
Ytd Avg. 2011
Equity-Diversified / USA (2.97%)
COBALT OFFSHORE LTD 31 Dec 96 Q $1'315 M 676.04 30 Nov 11 (0.15%) (0.39%) 677.05 13.66% 8.54% (19.53%)
Wayne Cooperman Nov 11 31 Oct 11 Apr 98 - Sep 98
ELM RIDGE VALUE PARTNERS OFFSHORE, INC - A 28 Feb 01 Q $2'450 M 240.33 30 Nov 11 (0.10%) (1.87%) 240.57 8.49% 10.18% (19.92%)
Ronald Gutfleish Mar 11 31 Oct 11 Oct 07 - Feb 09
EMINENCE FUND LTD A 31 Dec 98 Q $1'594 M 463.80 16 Dec 11 0.40% (0.37%) 461.95 12.56% 10.01% (19.99%)
Ricky C. Sandler Nov 11 30 Nov 11 Dec 07 - Dec 08
HIGHBRIDGE LONG/SHORT EQUITY FUND, LTD 30 Apr 04 Q $1'850 M 1,686.54 15 Dec 11 (2.11%) (14.85%) 1,722.92 7.09% 10.41% (21.12%)
Alex McAree Apr 11 30 Nov 11 Mar 11 - Sep 11
IVORY CAPITAL FLAGSHIP STRATEGY 30 Nov 98 Q $2'349 M 3,215.94 16 Dec 11 (1.80%) (4.43%) 3,274.89 9.36% 6.25% (12.61%)
Curtis Macnguyen Aug 11 30 Nov 11 May 08 - Nov 08
KINETICS FUND, INC - A/A 31 Jan 01 M $103 M 1,947.85 16 Dec 11 (3.46%) (14.65%) 2,017.58 6.32% 23.34% (76.20%)
Peter B. Doyle Aug 11 30 Nov 11 Oct 07 - Feb 09
OMEGA OVERSEAS PARTNERS, LTD CLASS A 31 Dec 91 M $1'003 M 652.50 30 Nov 11 0.82% (2.22%) 647.19 9.87% 15.16% (42.55%)
Leon Cooperman Jun 11 31 Oct 11 May 07 - Feb 09
RENAISSANCE INSTITUTIONAL EQUITIES LP (B) 31 Jul 05 M $240 M 149.56 16 Dec 11 0.93% 33.29% 148.18 6.51% 10.46% (35.73%)
James Simons Mar 11 30 Nov 11 May 07 - Apr 09
SAB OVERSEAS FUND LTD 31 Jul 00 3Q / Q $610 M 315.50 30 Nov 11 (3.20%) (3.42%) 325.93 10.66% 11.60% (17.57%)
Scott Bommer Sep 11 31 Oct 11 Mar 10 - Aug 10
SEMINOLE OFFSHORE FUND 31 May 98 Q $924 M 556.63 16 Dec 11 (1.90%) (2.08%) 567.41 13.50% 13.35% (15.62%)
Michael G. Messner, Paul C. Shiverick Oct 11 30 Nov 11 May 02 - Mar 03
ZWEIG-DIMENNA INTL LIMITED - CLASS A 31 May 87 Q $1'456 M 85,707.65 30 Nov 11 (1.51%) (2.47%) 87,018.19 15.39% 15.58% (50.23%)
Joseph DiMenna / Martin Zweig Jul 11 31 Oct 11 Feb 00 - Dec 02
Equity-Energy
YTD Avg. 2011 (5.06%)
Ytd Avg. 2011
Equity-Energy / USA (5.06%)
DORSET ENERGY FUND, LTD - CLASS A 31 Oct 00 M $366 M 44.05 16 Dec 11 (9.43%) (5.06%) 48.64 14.25% 21.92% (49.55%)
David M. Knott, Donald Textor May 11 30 Nov 11 Jun 08 - Dec 08
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 16
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Financial
YTD Avg. 2011 (2.96%)
Ytd Avg. 2011
Equity-Financial / Global (4.51%)
LANSDOWNE GLOBAL FINANCIALS FUND LTD. 30 Jun 04 M $1'559 M 227.28 16 Dec 11 (0.77%) (20.45%) 229.05 11.62% 14.25% (25.88%)
-N-USD Nov 11 30 Nov 11 Apr 10 - Dec 11
Williamde Winton
MARSHALL WACE - MW GLOBAL FINANCIALS M/N A 31 Oct 08 M $ 273 M 124.19 20 Dec 11 0.51% 3.93% 123.56 7.15% 5.38% (2.87%)
USD Sep 11 30 Nov 11 Feb 09 - Apr 09
Amit Rajpal
TOSCA CLASS A - USD 30 Sep 00 M $491 M 178.40 30 Nov 11 (3.59%) 2.99% 185.04 5.32% 18.38% (67.54%)
Johnny de la Hey Mar 11 31 Oct 11 Dec 07 - Nov 08
Ytd Avg. 2011
Equity-Financial / USA 1.67%
BRYN MAWR OFFSHORE LTD 31 Dec 95 Q $86 M 4,641.35 16 Dec 11 (0.07%) 1.67% 4,644.68 10.09% 4.04% (4.11%)
K. Gray Jul 09 30 Nov 11 Oct 99 - Dec 99
Equity-Healthcare
YTD Avg. 2011 1.62%
Ytd Avg. 2011
Equity-Healthcare / Global 1.62%
MLIS - CCI HEALTHCARE LONG SHORT UCITS FUND - 31 Jan 10 W $263 M 103.81 20 Dec 11 (1.76%) 2.32% 105.67 2.00% 8.62% (9.00%)
B (acc) USD Nov 11 30 Nov 11 May 11 - Dec 11
Oliver Marti, CCI Healthcare Partners
VISIUM INSTITUTIONAL PARTNERS FUND LTD 31 Oct 05 Q $173 M 180.24 16 Dec 11 (1.71%) 0.92% 183.38 10.09% 7.85% (6.10%)
-(PROFORMA) Nov 11 30 Nov 11 Jun 08 - Dec 08
Jacob Gottlieb, Visium Asset Management
Equity-Mid-Small Cap
YTD Avg. 2011 (6.99%)
Ytd Avg. 2011
Equity-Mid-Small Cap / Europe 5.80%
ENNISMORE EUROPEAN SMALLER COMPANIES 30 Nov 99 M €273 M 284.03 15 Dec 11 (0.60%) 10.21% 285.73 12.17% 11.49% (34.24%)
Geoff Oldfield Nov 11 30 Nov 11 Jul 07 - Apr 09
POLAR CAPITAL EUROPEAN FORAGER FUND LTD - 31 Jul 03 M €355 M 244.46 16 Dec 11 (1.20%) 1.39% 247.44 11.25% 8.01% (21.47%)
AX Nov 11 30 Nov 11 Oct 07 - Feb 09
Rob Gurner
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 17
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Mid-Small Cap
YTD Avg. 2011 (6.99%)
Ytd Avg. 2011
Equity-Mid-Small Cap / Global (20.97%)
RAB SPECIAL SITUATION FD LTD 31 Jul 03 Q $135 M 797.86 15 Dec 11 (6.84%) (20.97%) 856.43 10.14% 36.16% (79.26%)
Philip Richards Sep 11 30 Nov 11 Jul 07 - Dec 11
Ytd Avg. 2011
Equity-Mid-Small Cap / UK 1.02%
ALPHAGEN VOLANTIS FUND, LTD - A (USD) 30 Apr 02 M $501 M 388.88 16 Dec 11 0.14% 1.02% 388.32 15.14% 8.87% (11.36%)
Rob Giles & Adam McConkey Sep 11 30 Nov 11 Jun 08 - Dec 08
Ytd Avg. 2011
Equity-Mid-Small Cap / USA (11.90%)
GREENLIGHT CAPITAL OFFSHORE, LTD - A/1 30 Sep 96 Q $7'220 M 126,866.34 30 Nov 11 2.70% 3.93% 123,531.00 18.22% 11.25% (27.17%)
David Einhorn Jan 11 31 Oct 11 May 08 - Oct 08
GRT TOPAZ OFFSHORE PARTNERS, LTD - A/1 31 Aug 01 Q $237 M 1,927.55 16 Dec 11 (2.31%) (4.13%) 1,973.13 6.58% 13.77% (47.07%)
Gregory B Fraser & Rudolph K Kluiber & Timothy A. Jul 08 30 Nov 11 May 07 - Feb 09
Krochuk
SENVEST PARTNERS, LTD - CLASS A 31 Mar 97 Q $136 M 913.02 30 Nov 11 (7.20%) (36.98%) 983.86 16.26% 39.70% (70.55%)
Richard Mashaal Nov 11 31 Oct 11 Feb 00 - Sep 02
ZAXIS OFFSHORE LTD - CLASS A/1 30 Jun 00 M $556 M 2,148.84 30 Nov 11 (3.94%) (10.40%) 2,236.98 6.92% 8.48% (20.58%)
Sanford J. Colen Nov 11 31 Oct 11 Jun 08 - Feb 09
Equity-Pharma-Biotech
YTD Avg. 2011 (1.01%)
Ytd Avg. 2011
Equity-Pharma-Biotech / USA (1.01%)
PERCEPTIVE LIFE SCIENCES OFFSH FUND, LTD 31 Dec 99 M $420 M 1,108.90 16 Dec 11 0.05% 2.83% 1,108.35 22.27% 27.27% (25.67%)
Joseph Edelman Nov 11 30 Nov 11 Feb 00 - May 00
TRAXIS SIVIK GLOBAL HEALTHCARE OFFSHORE - 30 Jun 01 M $110 M 1,497.42 30 Nov 11 (1.74%) (7.42%) 1,523.94 3.95% 11.73% (32.70%)
A/01-01 Jun 11 31 Oct 11 Oct 07 - Feb 09
Krishen Sud
VISIUM BALANCE OFFSHORE FUND CL 2 31 Oct 05 Y/Q $1'909 M 188.61 16 Dec 11 (1.52%) 1.56% 191.52 10.91% 9.86% (15.79%)
Jacob Gottlieb Nov 11 30 Nov 11 Aug 08 - Dec 08
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 18
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Equity-Technology
YTD Avg. 2011 (2.71%)
Ytd Avg. 2011
Equity-Technology / Global (3.74%)
EXANE ARCHIMEDES FUND CLASS A CAP 30 Sep 06 W € 1'084 M 15,183.19 20 Dec 11 (1.68%) 4.08% 15,442.09 8.33% 4.65% (3.45%)
Gilles Lenoir and César Zeitouni Nov 11 30 Nov 11 Feb 08 - Mar 08
SPINNER GLOBAL TECHNOLOGY FUND, LTD 21 Sep 93 M $157 M 97.28 30 Nov 11 (2.48%) (11.57%) 99.76 13.31% 16.94% (34.02%)
Art Spinner Nov 11 31 Oct 11 Aug 00 - Sep 02
Ytd Avg. 2011
Equity-Technology / USA (0.63%)
SELIGMAN TECH SPECTRUM FUND CLASS 31 Dec 06 M $1'700 M 299.19 16 Dec 11 (1.43%) (0.63%) 303.53 8.45% 12.64% (19.91%)
-A1-S/2-2002 Nov 11 30 Nov 11 May 08 - Nov 08
J. & W. Seligman & Co. Incorporated
Equity-Utility
YTD Avg. 2011 (1.22%)
Ytd Avg. 2011
Equity-Utility / Global (1.22%)
ECOFIN GLOBAL LONG/SHORT FUND UCITS III 31 Jan 11 W $29 M 98.78 14 Dec 11 (0.64%) (1.22%) 99.41 (1.40%) 3.83% (3.10%)
Bernard Lambilliotte Nov 11 30 Nov 11 Jul 11 - Aug 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 19
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Multi-Strategy
YTD Avg. 2011 (12.14%)
Ytd Avg. 2011
Multi-Strategy / Emerging (15.11%)
MONEDA ABSOLUTE RETURN LTD 31 Jan 07 Q $ 108 M 124.38 15 Dec 11 (2.50%) (15.11%) 127.57 4.58% 13.64% (29.89%)
Juan Luis Rivera Jan 11 30 Nov 11 Jun 08 - Dec 08
Ytd Avg. 2011
Multi-Strategy / Global (11.93%)
DAVIDSON KEMPNER INTL, LTD - CLASS C Tranche 1 31 Oct 95 Q $5'662 M 390.73 16 Dec 11 0.29% 1.44% 389.60 8.81% 3.94% (10.87%)
Thomas L. Kempner, Jr. Sep 10 30 Nov 11 Oct 07 - Nov 08
FIRST EAGLE GOOD HOPE INTERNATIONAL LTD 31 Mar 04 Q $62 M 1,456.82 16 Dec 11 (0.00%) (10.37%) 1,456.85 5.00% 10.43% (35.08%)
Colin Morris Oct 11 30 Nov 11 May 08 - Dec 08
OWL CREEK OVERSEAS FUND, LTD 31 Jan 02 Y $3'827 M 3,089.89 16 Dec 11 (1.70%) (14.39%) 3,143.32 12.10% 13.47% (20.92%)
Jeffrey Altman Sep 11 30 Nov 11 Mar 10 - Sep 11
PARA INTERNATIONAL FUND -A- 31 Jan 95 M $356 M 395.33 30 Nov 11 (2.54%) (3.76%) 405.64 8.50% 7.89% (26.59%)
Ned Sadaka Apr 11 31 Oct 11 May 07 - Feb 09
PAULSON ADVANTAGE LTD -A- 31 Mar 04 Q $ 2'816 M 273.68 30 Nov 11 (3.34%) (31.69%) 283.13 14.02% 15.45% (33.80%)
John Paulson Nov 11 31 Oct 11 Feb 11 - Sep 11
PAULSON ADVANTAGE PLUS LTD 31 Dec 04 Q $3'984 M 312.18 30 Nov 11 (3.71%) (47.49%) 324.21 17.89% 23.89% (48.95%)
John Paulson Nov 11 31 Oct 11 Feb 11 - Nov 11
PAULSON RECOVERY FUND LTD 31 Oct 08 Y $ 1'744 M 112.47 30 Nov 11 (3.86%) (27.49%) 116.98 3.88% 24.17% (35.13%)
John Paulson Jan 10 31 Oct 11 Apr 11 - Sep 11
PERRY PARTNERS INTERNATIONAL INC CLASS -1 - 30 Sep 93 Q / 2Y $4'835 M 728.78 16 Dec 11 (2.94%) (7.62%) 750.85 11.52% 7.37% (25.65%)
TN A Sep 11 30 Nov 11 Oct 07 - Nov 08
Richard Perry
PERSHING SQUARE INTL.LTD 31 Dec 04 Y/Q $5'856 M 2,920.23 15 Dec 11 (0.70%) (5.56%) 2,940.82 16.65% 14.84% (20.35%)
William Ackman Nov 11 30 Nov 11 Jan 08 - Feb 09
REVELATION SPECIAL SITUATIONS FUND LTD 28 Feb 05 M $427 M 1,851.99 09 Dec 11 1.55% (5.45%) 1,823.73 9.51% 5.71% (8.87%)
Chris Kuchanny Sep 11 30 Nov 11 May 11 - Nov 11
THIRD POINT OFFSHORE 30 Nov 96 M $4'273 M 11,002.64 14 Dec 11 (1.80%) (1.20%) 11,204.32 17.28% 13.50% (35.48%)
Daniel Loeb Sep 11 30 Nov 11 Jun 08 - Mar 09
THIRD POINT ULTRA 30 Apr 97 Q $1'118 M 3,001.49 14 Dec 11 (2.50%) (3.96%) 3,078.45 26.17% 23.04% (41.80%)
Daniel Loeb Sep 11 30 Nov 11 Jun 08 - Mar 09
TYRUS CAPITAL EVENT FUND LTD 31 Oct 09 Q $1'480 M 115.14 16 Dec 11 (1.27%) (1.31%) 116.62 6.85% 5.81% (7.95%)
Tony Chedraoui Nov 11 30 Nov 11 Feb 11 - Sep 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 20
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Multi-Strategy
YTD Avg. 2011 (12.14%)
Ytd Avg. 2011
Multi-Strategy / Global (11.93%)
YORK INVESTMENT LTD -CLASS A/1 28 Feb 94 Q $2'092 M 6,446.25 16 Dec 11 (1.20%) (8.12%) 6,524.51 11.03% 9.16% (29.86%)
James Dinan Dec 09 30 Nov 11 Oct 07 - Feb 09
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 21
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Fixed Income
YTD Avg. 2011 3.85%
Ytd Avg. 2011
Fixed Income / Emerging 7.36%
MARATHON OVERSEAS FUND, LTD - A 31 Mar 98 Q $495 M 262.87 16 Dec 11 (0.08%) 7.36% 263.08 7.30% 7.24% (36.00%)
B. Richards & L. Hanover Jun 09 30 Nov 11 May 07 - Apr 09
Ytd Avg. 2011
Fixed Income / Global 3.56%
BLACKROCK FIXED INCOME GLOBAL ALPHA FUND 30 Sep 06 M $ 841 M 169.65 20 Dec 11 0.54% 20.06% 168.73 10.64% 6.16% (10.54%)
Tim Webb Jul 11 30 Nov 11 Jun 08 - Dec 08
BLACKROCK OBSIDIAN FUND 30 Jun 96 M $594 M 4,423.12 30 Nov 11 (1.25%) (13.88%) 4,479.11 10.12% 9.56% (20.93%)
Stuart Spodek Sep 11 31 Oct 11 Jan 08 - Feb 09
CAPULA GLOBAL RELATIVE VALUE FUND LTD CLASS 30 Sep 05 Q $6'888 M 206.84 16 Dec 11 0.05% 6.44% 206.74 12.41% 5.22% (7.41%)
-A- Nov 11 30 Nov 11 Feb 08 - Mar 08
Yan Huo, Masao Asai
DRAKE GLOBAL OPPORTUNITIES FUND 30 Nov 02 Q $107 M 1,604.66 30 Nov 11 (4.00%) 4.48% 1,671.52 5.39% 14.90% (57.51%)
Anthony Faillace Apr 11 31 Oct 11 Sep 07 - Mar 09
EMF FIXED INCOME FUND, LTD 31 Oct 01 Q $358 M 39,057.91 09 Dec 11 0.20% 6.05% 38,979.95 14.42% 15.77% (22.46%)
Eric M. Flanagan/David C. Gottlieb Oct 11 30 Nov 11 Feb 08 - Mar 08
III FUND LTD 30 Jun 93 Q $135 M 3,091.92 16 Dec 11 0.40% 9.36% 3,079.60 6.30% 11.61% (54.77%)
Cliff G Viner Nov 11 30 Nov 11 Jan 08 - Nov 08
III RELATIVE VALUE CREDIT STRATEGIES FUND LTD 31 Oct 05 Q $160 M 1,491.89 16 Dec 11 0.41% 10.58% 1,485.84 6.74% 9.53% (31.27%)
Garth Friesen Jun 11 30 Nov 11 Nov 07 - Dec 08
LONDON DIVERSIFIED FUND, LTD - D 31 May 95 Q $226 M 4,362.67 16 Dec 11 0.85% 3.56% 4,326.11 9.31% 6.95% (28.95%)
Robert Standing & David Gorton Sep 10 30 Nov 11 Jan 08 - Dec 08
PARS IV OFFSHORE FUND II , CL. A/1 31 Mar 02 Q $2'250 M 2,080.04 31 Oct 11 1.07% 1.93% 2,058.02 7.93% 9.43% (25.88%)
William H. Gross Sep 11 30 Sep 11 May 08 - Nov 08
PROLOGUE FEEDER FUND, LTD. CLASS A 31 Jan 06 Q $1'286 M 1,765.80 16 Dec 11 0.57% 7.85% 1,755.82 10.16% 3.78% (1.59%)
David Lofthouse, Graham Walsh Nov 11 30 Nov 11 Jul 07 - Aug 07
SINOPIA L/S GL. BOND MK NEUT.FUND 300 USD Cl.I 30 Jun 01 D $18 M 65,929.28 20 Dec 11 0.16% (5.13%) 65,827.28 2.67% 2.53% (6.39%)
Jean-Charles Bertrand Feb 11 30 Nov 11 Jan 11 - Nov 11
SINOPIA L/S GL. BOND MK NEUT.FUND 600 EURO Cl.I 31 May 01 D €18 M 116,353.10 20 Dec 11 0.05% (8.58%) 116,294.70 3.64% 4.92% (10.67%)
Jean-Charles Bertrand Sep 09 30 Nov 11 Jan 11 - Nov 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 22
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Arbitrage
YTD Avg. 2011 (3.39%)
Ytd Avg. 2011
Arbitrage / Global (3.39%)
HSBC MAA FUND USD 15 Jun 95 Q/M $171 M 192.97 30 Nov 11 (0.42%) (3.39%) 193.78 4.07% 5.01% (25.30%)
HSBC Alternative Investments Limited Jun 11 31 Oct 11 Jul 07 - Dec 08
Event Driven
YTD Avg. 2011 (15.34%)
Ytd Avg. 2011
Event Driven / Global (15.34%)
HSBC DISTRESSED MARKETS FUND USD Class 31 May 09 M $169 M 99.85 18 Nov 11 (9.75%) (15.34%) 110.64 (0.06%) 7.84% (16.88%)
HSBC Management (Guernsey) Ltd Jun 11 31 Oct 11 Feb 11 - Nov 11
Leveraged Multi-Strategy
YTD Avg. 2011 (8.02%)
Ytd Avg. 2011
Leveraged Multi-Strategy / Global (8.02%)
HSBC LEVERAGED GH FUND 30 Nov 04 M $2'624 M 118.68 30 Nov 11 (1.29%) (8.02%) 120.23 2.48% 12.82% (37.09%)
HSBC Republic Investment Limited Jun 11 31 Oct 11 Jun 08 - Dec 08
Long/Short
YTD Avg. 2011 (10.68%)
Ytd Avg. 2011
Long/Short / Asia (10.68%)
HSBC ASIAN ADVANTEDGE FUND 30 Jun 02 M $46 M 167.55 30 Nov 11 (2.14%) (10.68%) 171.22 5.63% 8.66% (24.73%)
HSBC Alternative Investments Limited Jun 11 31 Oct 11 Dec 07 - Nov 08
Multi-Strategy
YTD Avg. 2011 (4.99%)
Ytd Avg. 2011
Multi-Strategy / Emerging (9.44%)
HSBC EMERGING ADVANTEDGE FUND 31 Mar 97 M $29 M 154.00 30 Nov 11 (2.27%) (9.44%) 157.58 2.99% 15.66% (59.39%)
HSBC Alternative Investments Limited Jun 11 31 Oct 11 Sep 97 - Dec 98
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 23
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Multi-Strategy
YTD Avg. 2011 (4.99%)
Ytd Avg. 2011
Multi-Strategy / Global (2.77%)
HSBC GH FUND USD 31 May 96 M $2'625 M 277.76 30 Nov 11 (0.55%) (3.07%) 279.29 6.81% 6.66% (18.30%)
HSBC Alternative Investments Limited Jun 11 31 Oct 11 Jun 08 - Dec 08
HSBC HEDGE INVESTMENTS FUND 28 Feb 02 Q $38 M 144.72 30 Nov 11 (0.49%) (2.47%) 145.43 3.86% 5.19% (17.63%)
HSBC Alternative Investments Limited Jun 11 31 Oct 11 Jun 08 - Dec 08
Trading
YTD Avg. 2011 (2.35%)
Ytd Avg. 2011
Trading / Global (2.35%)
HSBC TRADING ADVANTEDGE FUND 31 Oct 05 M $352 M 149.07 30 Nov 11 0.28% (2.35%) 148.65 6.78% 9.69% (10.20%)
HSBC Alternative Investments Limited Jun 11 31 Oct 11 Jan 09 - Jan 10
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 24
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Commodity
YTD Avg. 2011 (20.16%)
Ytd Avg. 2011
Commodity / Global (20.16%)
CLIVE FUND (The ) Class - A - 30 Nov 07 Q $4'100 M 188.24 16 Dec 11 (1.22%) (10.19%) 190.57 16.92% 19.31% (18.05%)
Christian Levett and Richard Boland Oct 11 30 Nov 11 Apr 11 - Aug 11
MERCHANT COMMODITY FUND (THE) - COMPOSITE 31 May 04 M $988 M 333.14 16 Dec 11 5.50% (30.13%) 315.77 17.28% 21.75% (36.93%)
Michael Coleman and Doug King Sep 11 30 Nov 11 Dec 10 - Oct 11
Currency
YTD Avg. 2011 2.62%
Ytd Avg. 2011
Currency / Global 2.62%
QFS CURRENCY FUND, LTD CLASS B SHARES 28 Feb 93 M $120 M 815.42 16 Dec 11 (0.84%) 2.62% 822.32 11.80% 14.45% (18.85%)
(INDEX) Dec 11 30 Nov 11 Feb 04 - Aug 06
Dr. Sanford Grossman
Diversified
YTD Avg. 2011 (0.69%)
Ytd Avg. 2011
Diversified / Asia 4.94%
ALPHADYNE INVESTMENT STRATEGIES FUND LTD 31 Jan 07 M $ 272 M 1,523.25 16 Dec 11 1.08% 1.81% 1,506.97 9.01% 4.71% (3.63%)
Bart Broadman, Philippe Khuong-Huu Apr 11 30 Nov 11 May 09 - Jun 09
BREVAN HOWARD ASIA FUND LIMITED 30 Sep 04 M $1'292 M 198.26 30 Nov 11 0.78% 8.06% 196.72 10.02% 4.05% (1.94%)
Kaspar Ernst Sep 11 31 Oct 11 Jan 10 - Mar 10
Ytd Avg. 2011
Diversified / Emerging (0.48%)
BLUECREST EMERGING MARKETS FUNDS 31 Aug 05 Q $1'170 M 170.86 30 Nov 11 (0.18%) (0.10%) 171.16 8.96% 12.40% (22.89%)
Bluecrest Capital Management LLP Oct 10 31 Oct 11 Oct 07 - Oct 08
BREVAN HOWARD EM. MKT STRATEGIES FUND LTD 31 Dec 07 M $2'190 M 133.17 30 Nov 11 (1.55%) (2.21%) 135.27 7.59% 10.23% (9.52%)
Geraldine Sundstrom Sep 11 31 Oct 11 Aug 11 - Sep 11
DISCOVERY GLOBAL OPPORTUNITY FUND, LTD 31 Jul 99 S $414 M 646.72 30 Nov 11 (0.42%) 3.17% 649.45 16.33% 15.22% (33.03%)
Robert K Citrone Feb 11 31 Oct 11 Dec 07 - Dec 08
GAVEA FUND LTD . CLASS A S/1 31 Jul 03 Q $1'626 M 212.56 16 Dec 11 (0.79%) 0.12% 214.25 9.41% 7.06% (12.50%)
Fraga Arminio Nov 11 30 Nov 11 Jul 08 - Oct 08
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 25
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Diversified
YTD Avg. 2011 (0.69%)
Ytd Avg. 2011
Diversified / Emerging (0.48%)
GREEN II FUND-S/ 01.06 COMPOSITE 31 Jan 01 M $1'500 M 585.66 30 Nov 11 (6.70%) (5.16%) 627.71 16.46% 14.99% (33.00%)
Luis Stuhlberger May 10 31 Oct 11 Jun 08 - Nov 08
MOORE EMERGING FX . INC & CRY FUND - CLASS A 31 Mar 09 M $231 M 1,192.91 15 Dec 11 (0.45%) 3.55% 1,198.36 6.73% 4.00% (3.02%)
Greg Coffey Mar 11 30 Nov 11 Oct 09 - Jan 10
PHARO TRADING FUND 30 Nov 00 M $461 M 3,934.40 30 Nov 11 2.10% (2.76%) 3,853.45 13.25% 9.90% (13.16%)
Guillaume Fonkenell Nov 11 31 Oct 11 Feb 08 - Oct 08
Ytd Avg. 2011
Diversified / Global (1.18%)
BREVAN HOWARD FUND, LTD - USD CLASS A 31 Mar 03 M $26'470M 293.02 30 Nov 11 1.68% 12.66% 288.17 13.20% 7.06% (5.17%)
Alan Howard Nov 11 31 Oct 11 Feb 08 - Apr 08
BTG PACTUAL GLOBAL EMERGING MARKETS AND 31 Jan 09 Q $ 2'370 M 2,014.40 30 Nov 11 0.41% 4.34% 2,006.18 28.08% 8.87% (3.33%)
MACRO FUND Nov 11 31 Oct 11 May 11 - Aug 11
BTG Pactual Global Asset Management
CAPITAL FUND, LTD (THE) 31 Dec 99 M $84 M 2,491.94 16 Dec 11 0.26% 4.67% 2,485.48 11.25% 10.56% (17.38%)
Kenneth Windheim Aug 11 30 Nov 11 Jan 09 - Mar 10
CAXTON GLOBAL INVESTMENT LTD 31 Jan 97 Y $5'051 M 750.84 19 Dec 11 (0.09%) 0.94% 751.51 14.50% 7.54% (7.37%)
Andrew E. Law Sep 11 30 Nov 11 Jun 07 - Aug 07
COMAC GLOBAL MACRO FUND 31 May 06 M $ 5'200 M 166.24 16 Dec 11 0.32% 4.67% 165.71 9.59% 8.49% (10.20%)
Colm O’Shea Nov 11 30 Nov 11 Apr 10 - Mar 11
DRAKE ABSOLUTE RETURN FUND, LTD (THE) 31 Dec 01 Y/Q $219 M 128.61 30 Nov 11 (1.20%) 3.27% 130.17 2.57% 11.91% (51.74%)
Anthony Faillace & Steven Luttrell Apr 11 31 Oct 11 Sep 07 - Mar 09
ELEMENT CAPITAL FUND 31 Mar 05 M $3'048 M 52,367.57 30 Nov 11 1.54% 3.57% 51,573.34 28.17% 10.82% (7.83%)
Jeffrey Talpins Oct 11 31 Oct 11 Oct 07 - Apr 08
EPISODE INC. CLASS A 31 Jul 05 Q $581 M 134.38 16 Dec 11 (1.00%) (0.08%) 135.74 4.74% 12.49% (32.77%)
David Fishwick / Tony Finding Nov 11 30 Nov 11 Oct 07 - Feb 09
FORTRESS MACRO FUND LTD. CLASS A 31 Dec 08 M $ 2'387 M 976.26 16 Dec 11 0.61% (9.10%) 970.34 5.01% 6.14% (11.34%)
Michael E. Novogratz & Adam Levinson Oct 11 30 Nov 11 Mar 11 - Nov 11
GAM GLOBAL RATES HEDGE FUND 31 Jan 04 M $349 M 188.87 13 Dec 11 (1.14%) (7.20%) 191.04 8.41% 7.77% (12.25%)
Adrian Owens Nov 11 30 Nov 11 Mar 11 - Sep 11
GAMUT INVESTMENTS 30 Jun 86 M $418 M 8,108.88 14 Dec 11 0.23% (0.24%) 8,090.20 18.83% 13.58% (13.45%)
Andrew E. Law Sep 10 30 Nov 11 Dec 87 - Apr 88
HARMONIC ALPHA PLUS MACRO FUND - USD CLASS 30 Apr 03 M $871 M 114.41 16 Dec 11 0.34% (7.94%) 114.02 5.80% 11.62% (16.14%)
Richard Conyers Nov 11 30 Nov 11 Apr 11 - Nov 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 26
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Diversified
YTD Avg. 2011 (0.69%)
Ytd Avg. 2011
Diversified / Global (1.18%)
INVESTCORP STONEWORKS GLOBAL MACRO FUND 31 Jul 07 M $ 194 M 113.55 16 Dec 11 0.60% 0.25% 112.88 2.94% 9.28% (14.97%)
LTD Oct 11 30 Nov 11 Jul 09 - Mar 11
Investcorp Investment Advisers Limited
MELLON OFF GLOB OPP FUND LTD - 30 Nov 05 M $296 M 1,154.22 30 Nov 11 (1.24%) 3.36% 1,168.72 2.42% 9.46% (31.90%)
MULTICURRENCY - A1 Oct 11 31 Oct 11 Jan 07 - Oct 08
Alexander Huberts & Jeff Zhang
MELLON OFF. ALPHAACCESS FUND LTD - MCY A/1 31 Jul 05 M $328 M 1,079.46 30 Nov 11 (3.66%) 0.86% 1,120.52 1.21% 18.49% (59.00%)
Alexander Huberts & Jeff Zhang Oct 11 31 Oct 11 Jan 07 - Oct 08
MKP OPPORTUNITY OFFSHORE, LTD 31 Jul 01 M $1'550 M 269.58 16 Dec 11 0.30% 11.22% 268.78 10.02% 5.45% (3.70%)
Patrick McMahon Nov 11 30 Nov 11 Dec 09 - Feb 10
MLM MACRO PEAK PARTNERS OFFSH FD, LTD - B 31 Mar 02 M $1'183 M 1,951.16 16 Dec 11 (1.08%) (34.55%) 1,972.46 7.12% 18.30% (34.55%)
Timothy Rudderow Nov 10 30 Nov 11 Dec 10 - Dec 11
MOORE GLOBAL INV FD, LTD - A $ 31 Dec 89 Q $7'600 M 43,726.10 15 Dec 11 (0.05%) (2.67%) 43,749.39 18.76% 12.14% (18.45%)
Louis Bacon Sep 10 30 Nov 11 Jan 94 - Feb 95
MOORE MACRO MANAGERS FUND, LTD CLASS -A- 31 Jul 93 Q $3'599 M 11,151.03 15 Dec 11 (0.22%) (2.15%) 11,175.55 14.01% 8.69% (14.47%)
Louis Bacon Sep 11 30 Nov 11 Jan 94 - Feb 94
PHARO MACRO FUND LTD 30 Apr 05 Q $2'769 M 2,145.16 30 Nov 11 (0.28%) (7.50%) 2,151.16 12.28% 9.27% (9.64%)
Guillaume Fonkenell Nov 11 31 Oct 11 Jun 08 - Nov 08
PIA MACRO FUND LTD 31 May 09 M $ 125 M 90.68 02 Dec 11 (0.20%) (17.56%) 90.86 (3.83%) 7.65% (17.56%)
Chris Pia Nov 11 30 Nov 11 Dec 10 - Dec 11
QFS GLOBAL MACRO FUND, LTD CLASS B SHARES 31 Jan 98 M $58 M 385.60 30 Nov 11 (0.74%) (0.68%) 388.47 10.24% 14.25% (27.08%)
Dr. Sanford Grossman Dec 11 31 Oct 11 Feb 04 - Aug 06
RUBICON GLOBAL FUND, LTD 31 Oct 99 M $443 M 463.56 16 Dec 11 (1.98%) 6.45% 472.92 13.47% 14.96% (36.03%)
Paul Brewer Nov 11 30 Nov 11 Dec 04 - May 07
SWORDFISH FUND LTD 31 Jan 03 M $62 M 1,407.27 30 Nov 11 0.00% 4.81% 1,407.24 3.94% 16.02% (42.40%)
James Loh Apr 11 31 Oct 11 Jun 08 - Feb 09
TRAXIS FUND LP (OFFSHORE) 31 May 03 Q $ 547 M 151.84 30 Nov 11 (3.60%) (3.71%) 157.51 5.03% 13.05% (40.00%)
Barton M. Biggs, Madhav Dhar & Cyril Moullé-Berteaux Nov 10 31 Oct 11 Oct 07 - Feb 09
TUDOR B.V.I GLOBAL FUND LTD -A- 31 Oct 86 Q $7'820 M 104,738.36 16 Dec 11 0.10% 1.64% 104,632.15 20.32% 19.36% (17.07%)
Paul Tudor Jones Nov 11 30 Nov 11 Apr 92 - Jul 92
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 27
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Currency
YTD Avg. 2011 4.47%
Ytd Avg. 2011
Currency / Global 4.47%
ORTUS FUND (CAYMAN) LTD 30 Sep 03 M $809 M 281.97 15 Dec 11 0.06% 4.47% 281.80 13.45% 12.35% (23.33%)
Dr Joe Zhou Nov 11 30 Nov 11 Jul 08 - Oct 08
Discretionary
YTD Avg. 2011 (3.44%)
Ytd Avg. 2011
Discretionary / Global (3.44%)
KROM RIVER COMMODITY FUND 30 Jun 06 M $ 900 M 179.82 16 Dec 11 (0.78%) (3.44%) 181.23 11.33% 10.38% (10.45%)
Christopher Brodie Nov 11 30 Nov 11 Oct 08 - Mar 10
Systematic
YTD Avg. 2011 (5.35%)
Ytd Avg. 2011
Systematic / Global (5.35%)
ASPECT DIVERSIFIED FUND - CLASS A 30 Nov 98 W $1'088 M 354.92 20 Dec 11 2.02% 4.25% 347.89 10.18% 16.67% (21.47%)
Anthony Todd Nov 11 30 Nov 11 Feb 04 - Jan 05
BLUETREND FUND, LTD - CLASS A 31 Mar 04 M $8'900 M 308.20 16 Dec 11 2.35% 0.45% 301.13 15.71% 14.13% (12.55%)
Michael Platt & Leda Braga Dec 11 30 Nov 11 Apr 06 - Jul 06
BORONIA DIVERSIFIED FUND MASTER 31 Aug 93 M $802 M 1,686.46 21 Dec 11 (2.30%) (8.79%) 1,726.16 10.02% 11.80% (13.31%)
Richard Grinham and Angus Grinham Nov 11 30 Nov 11 May 94 - Jul 94
CIPHER DIVERSIFIED FUND-A- 31 Jul 98 M $41 M 2,932.66 16 Dec 11 0.30% (30.44%) 2,923.88 8.37% 19.47% (36.84%)
A. Knoepffler Mar 11 30 Nov 11 Apr 11 - Nov 11
CONQUEST MACRO FUND, LTD (COMP) 30 Apr 99 M $729 M 3,218.34 21 Dec 11 1.31% (4.22%) 3,176.72 9.68% 18.84% (29.12%)
Marc Malek Oct 11 30 Nov 11 Jul 09 - Jun 11
CRABEL FUND SPC LTD CLASS A 28 Feb 98 M $323 M 4,478.35 09 Dec 11 (1.45%) (3.63%) 4,544.25 11.49% 16.99% (16.71%)
Toby Crabel Jan 10 30 Nov 11 Oct 98 - Jun 99
DISCUS FEEDER LTD CL. B USD STANDARD 31 Dec 90 M $601 M 1,318.50 16 Dec 11 0.73% 23.21% 1,308.97 13.37% 15.97% (34.56%)
LEVERAGE Nov 11 30 Nov 11 Jun 94 - Oct 95
Team managed
DKR QUANTITATIVE STRATS FUND, LTD 31 Dec 99 M $408 M 2,617.58 16 Dec 11 0.40% (11.51%) 2,607.16 8.37% 10.24% (14.54%)
Pascal Magnollay Jun 11 30 Nov 11 Feb 11 - Oct 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 28
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Systematic
YTD Avg. 2011 (5.35%)
Ytd Avg. 2011
Systematic / Global (5.35%)
EAGLE GLOBAL FUND 30 Sep 95 M $81 M 992,743.79 16 Dec 11 1.45% 11.36% 978,593.46 15.20% 23.98% (32.13%)
Menachem Sternberg & Liora Sternberg Mar 11 30 Nov 11 Oct 03 - Sep 04
GRAHAM GIF II PROPRIETARY MATRIX - 10V 30 Jun 99 M $740 M 289.28 20 Dec 11 1.50% (10.36%) 285.01 8.88% 12.23% (16.08%)
Kenneth G. Tropin Nov 11 30 Nov 11 Apr 11 - Nov 11
GRAHAM GLOBAL INVESTMENT FUND II - K4D-10V 31 Jan 95 M $3'450 M 352.20 20 Dec 11 0.47% (13.27%) 350.56 7.74% 12.57% (15.67%)
Kenneth G. Tropin Nov 11 30 Nov 11 Oct 01 - Apr 02
GRAHAM GLOBAL INVESTMENT FUND II - K4D-15V 31 Dec 98 M $3'450 M 208.54 20 Dec 11 0.71% (19.37%) 207.06 10.87% 19.36% (30.47%)
Kenneth G. Tropin Nov 11 30 Nov 11 Feb 04 - Apr 05
KEYNES LEVERAGED QUANTITATIVE STRATEGIES 31 Dec 04 M $231 M 102.15 16 Dec 11 (0.06%) (5.13%) 102.21 8.78% 12.23% (12.83%)
FUND CLASS - B -COMPOSITE Aug 09 30 Nov 11 Apr 06 - Sep 06
Sushil Wadhwani,
MAN AHL DIVERSIFIED PLC 31 Mar 96 W $2'415 M 94.11 19 Dec 11 0.17% (4.76%) 93.95 15.32% 17.59% (19.39%)
Tim Wong Sep 11 30 Nov 11 Dec 08 - Feb 10
RENAISSANCE INSTITUTIONAL FUTURES FUND LP 30 Sep 07 M $685 M 120.63 16 Dec 11 (1.16%) 2.19% 122.04 4.55% 12.23% (22.27%)
Robert Lourie Sep 11 30 Nov 11 Jun 08 - Jun 09
TEWKSBURY INVESTMENT FUND, LTD - B 31 Dec 90 M $3'420 M 14,958.91 16 Dec 11 (0.30%) 4.26% 15,003.92 13.77% 4.63% (7.75%)
Matthew Tewksbury Sep 11 30 Nov 11 Jun 07 - Aug 07
TRADELINK INTEGRATED PROGRAM LTD 31 Dec 93 M $83 M 2,363.82 16 Dec 11 1.24% (20.65%) 2,334.87 19.24% 23.75% (36.53%)
Walt Weissman and Blair Wellensiek Nov 11 30 Nov 11 May 03 - Jan 05
TUDOR TENSOR FUND LIMITED CLASS I 31 Aug 05 M $292 M 1,524.47 16 Dec 11 (0.16%) (10.37%) 1,526.96 6.93% 12.10% (13.94%)
Steve Evans Nov 11 30 Nov 11 Sep 09 - Aug 10
TULIP TREND FUND, LTD - A 31 Mar 03 M $619 M 3,532.07 16 Dec 11 5.43% (20.40%) 3,350.27 15.57% 25.93% (34.25%)
Harold de Boer Sep 09 30 Nov 11 Feb 09 - Jan 10
TWO SIGMA COMPASS CAYMAN FUND 31 Jul 09 M $ 496 M 1,468.41 30 Nov 11 0.42% (0.48%) 1,462.21 17.87% 9.01% (9.85%)
Two Sigma Investments, LLC Oct 11 31 Oct 11 Apr 11 - Sep 11
WINTON FUTURES FUND - CLASS B 30 Sep 97 M $ 9'200 M 843.37 21 Dec 11 0.74% 5.34% 837.18 16.16% 17.96% (25.08%)
David Harding Nov 11 30 Nov 11 Oct 01 - Feb 02
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 29
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Discretionary
YTD Avg. 2011 3.23%
Ytd Avg. 2011
Discretionary / Asia 10.02%
AMAZON MARKET NEUTRAL FUND CLASS A USD 31 Aug 05 M $458 M 346.25 16 Dec 11 0.28% 11.13% 345.28 21.81% 13.12% (20.20%)
August Investment Management Ltd Nov 11 30 Nov 11 Jun 08 - Dec 08
MACQUARIE ASIAN ALPHA FUND 30 Sep 05 M $807 M 1,618.61 09 Dec 11 (0.40%) 8.92% 1,625.11 10.97% 6.53% (14.05%)
Andrew Alexander & Nick Bird Nov 11 30 Nov 11 Oct 07 - Apr 09
Ytd Avg. 2011
Discretionary / Europe 1.25%
EXANE MICROMEGAS FUND LTD- CLASS A - CAP 30 Jun 06 W € 239 M 15,355.32 20 Dec 11 (0.13%) 1.10% 15,374.79 5.50% 5.49% (6.92%)
Jerome Poirel Nov 11 30 Nov 11 Oct 07 - Feb 08
TALENTUM ACTIVEDGE FUND LIMITED - A - 30 Jun 02 M €43 M 166.14 22 Dec 11 0.00% 0.71% 166.14 5.50% 4.33% (11.77%)
Gianmarco Mondani / Marco Accorroni Sep 11 30 Nov 11 Jun 08 - Apr 09
TALENTUM ENHANCED FUND LIMITED - A - 31 Aug 02 M €138 M 245.48 16 Dec 11 0.92% 1.93% 243.24 10.14% 8.88% (25.03%)
Gianmarco Mondani / Marco Accorroni Aug 11 30 Nov 11 Jun 08 - Apr 09
Ytd Avg. 2011
Discretionary / Global 0.59%
BLACK DIAMOND RELATIVE VALUE LTD -C-Shs 31 Jul 99 Q $827 M 284.72 16 Dec 11 (0.87%) (3.67%) 287.21 8.81% 5.48% (8.09%)
Clint Carlson Sep 11 30 Nov 11 Mar 11 - Sep 11
MARSHALL WACE - MW MARKET NEUTRAL TOPS A 31 Oct 07 M $395 M 101.24 20 Dec 11 0.56% 2.91% 100.68 0.30% 7.04% (15.98%)
USD Sep 11 30 Nov 11 Jun 08 - Nov 08
Anthony Clake.
TEMUJIN INTERNATIONAL FUND LTD 30 Sep 04 Q/M $85 M 148.79 30 Nov 11 0.30% 2.54% 148.34 5.70% 10.62% (21.13%)
Marco Battaglia Sep 09 31 Oct 11 Jul 06 - Feb 09
Ytd Avg. 2011
Discretionary / Japan 0.06%
DB EQUILIBRIA JAPAN FUND 30 Apr 02 M $180 M 225.47 16 Dec 11 0.28% 0.13% 224.84 8.80% 4.55% (5.77%)
James Pulsford, Sara Gardiner-Hill Sep 11 30 Nov 11 May 08 - Sep 08
DB EQUILIBRIA JAPAN FUND LTD 2X (USD) 30 Apr 09 M $399 M 133.00 16 Dec 11 0.51% (0.01%) 132.32 11.45% 8.31% (7.61%)
James Pulsford, Sara Gardiner-Hill Nov 11 30 Nov 11 Jul 11 - Sep 11
Ytd Avg. 2011
Discretionary / UK 6.56%
ABSOLUTE INSIGHT UK EQUITY MKT NEUTRAL 31 May 08 D £ 170 M 1.13 21 Dec 11 0.20% 2.23% 1.13 3.15% 1.35% (0.49%)
FUND-CLASS B2P GBP Sep 09 30 Nov 11 Jun 11 - Aug 11
Andrew Cawker, Iain Brown, Richard Howarth
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 30
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Discretionary
YTD Avg. 2011 3.23%
Ytd Avg. 2011
Discretionary / UK 6.56%
CAZENOVE UK ABSOLUTE TARGET FUND - P2 GBP 30 Jun 08 Daily £ 228 M 109.00 14 Dec 11 (0.08%) 10.89% 109.09 2.52% 6.42% (9.96%)
Steven Cordell Jan 11 30 Nov 11 Sep 09 - Dec 10
Multi-Strategy
YTD Avg. 2011 (0.15%)
Ytd Avg. 2011
Multi-Strategy / Asia (0.15%)
LIM ASIA MULTI-STRATEGY FUND CLASS A 31 Dec 95 Q $ 873 M 34.16 30 Nov 11 0.92% (0.15%) 33.85 8.02% 6.03% (15.79%)
George W. Long Nov 11 31 Oct 11 Feb 08 - Nov 08
Statistical Arbitrage
YTD Avg. 2011 2.42%
Ytd Avg. 2011
Statistical Arbitrage / Europe (5.24%)
BLACKROCK EOS CLASS B USD COMPOSITE 28 Feb 02 M $ 219 M 1,169.10 21 Dec 11 0.17% (2.75%) 1,167.12 9.73% 9.15% (14.33%)
Robert Fisher Apr 11 30 Nov 11 Jul 07 - Jan 08
GLC GESTALT EUROPE FUND, LTD A/1 31 Jul 99 M $75 M 221.90 16 Dec 11 (0.44%) (7.72%) 222.89 6.65% 9.30% (23.47%)
Laurence Staden & Julian Brooks Oct 11 30 Nov 11 Oct 09 - Sep 11
Ytd Avg. 2011
Statistical Arbitrage / Global 6.25%
A.R.T. INTERNATIONAL INVESTOR (BVI) Ltd 28 Feb 07 Q $905 M 195.09 14 Dec 11 0.63% 7.66% 193.87 14.96% 9.39% (10.48%)
Aaron Sosnick Nov 11 30 Nov 11 Jul 07 - Aug 07
BLUEMATRIX FUND CLASS -A- USD 31 Oct 07 M $434 M 135.23 16 Dec 11 (0.24%) (1.17%) 135.56 7.58% 7.56% (9.96%)
BlueCrest Capital management LLP Sep 11 30 Nov 11 Apr 11 - Sep 11
GSA CAPITAL INTERNATIONAL FUND, LTD - CLASS A 28 Feb 05 Q $985 M 200.57 16 Dec 11 0.74% 15.01% 199.09 10.78% 4.87% (11.91%)
Jonathan Hiscock Oct 11 30 Nov 11 Jun 08 - Sep 08
HIGHBRIDGE STATISTICAL OPP. LTD – CLASS A 31 Oct 06 M $1'070 M 1,247.29 15 Dec 11 1.01% 3.48% 1,234.86 4.40% 11.13% (21.48%)
Evan Dick, Greg Howel Feb 11 30 Nov 11 Jun 07 - Aug 07
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 31
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Systematic
YTD Avg. 2011 23.96%
Ytd Avg. 2011
Systematic / Global 23.96%
BLACKROCK 32 CAPITAL MASTER FUND SPC, LTD 31 Jul 02 Y/M $413 M 1,649.82 16 Dec 11 1.25% 23.96% 1,629.49 5.48% 7.51% (25.62%)
(THE) - A/1 Nov 11 30 Nov 11 Jun 08 - Sep 09
BlackRock SAE Team
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 32
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Merger-Arbitrage
YTD Avg. 2011 (2.80%)
Ytd Avg. 2011
Merger-Arbitrage / Global (3.68%)
AETOS CORPORATION - CLASS A 31 Dec 85 M $132 M 25,429.63 16 Dec 11 (0.08%) 4.12% 25,449.97 9.34% 11.73% (34.97%)
Jason Dahl, Jonathan Spitzer Nov 11 30 Nov 11 Aug 87 - Oct 87
CENTAURUS INTERNATIONAL RISK ARBITRAGE 30 Jun 09 M €370 M 110.38 30 Nov 11 1.04% (2.16%) 109.25 4.17% 5.26% (7.66%)
FUND Jul 11 31 Oct 11 May 11 - Aug 11
Randy Freeman
LION FUND, LTD (THE) 31 Jan 96 M $260 M 38.23 30 Nov 11 0.22% 3.56% 38.15 8.73% 9.70% (34.07%)
Nick Walker Oct 11 31 Oct 11 Oct 07 - Feb 09
PAULSON ENHANCED LTD 30 Apr 01 S $2'081 M 709.06 30 Nov 11 (0.84%) (19.86%) 715.07 20.31% 16.82% (30.43%)
John Paulson Nov 11 31 Oct 11 Apr 11 - Sep 11
PAULSON INTERNATIONAL, LTD 30 Apr 96 M $1'521 M 718.63 30 Nov 11 (0.34%) (9.25%) 721.09 12.88% 8.18% (15.52%)
John Paulson Nov 11 31 Oct 11 May 11 - Sep 11
PSAM MERGER FUND LTD 31 May 09 M $58M 109.32 16 Dec 11 0.16% 1.48% 109.15 3.56% 2.47% (2.08%)
Peter Schoenfeld Nov 11 30 Nov 11 Apr 11 - Aug 11
Ytd Avg. 2011
Merger-Arbitrage / USA 2.54%
GABELLI ASSOCIATES LIMITED - CLASS A 31 Aug 89 M $154 M 565.35 16 Dec 11 (0.25%) 2.54% 566.78 8.08% 3.32% (6.65%)
Mario Gabelli Feb 07 30 Nov 11 Oct 07 - Oct 08
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 33
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Diversified
YTD Avg. 2011 (1.82%)
Ytd Avg. 2011
Diversified / Asia (15.98%)
BENNELONG ASIA PACIFIC MULTI STRATEGY EQ. 28 Feb 05 M $ 102 M 99.39 30 Nov 11 3.92% (15.98%) 95.64 (0.09%) 12.74% (35.88%)
FUND LTD Sep 11 31 Oct 11 Mar 08 - Oct 11
Richard Pegum, Paul Henry
Ytd Avg. 2011
Diversified / Global (1.46%)
AG SUPER FUND INTERNATIONAL, LTD 30 Apr 93 Y $625 M 1,269.24 16 Dec 11 (0.20%) (3.32%) 1,271.78 9.61% 5.63% (24.78%)
J. Angelo & Michael Gordon & Dave Kamin Mar 11 30 Nov 11 Jun 07 - Dec 08
ALLBLUE LIMITED 31 Aug 05 M $6'629 M 181.93 16 Dec 11 0.90% 2.00% 180.31 9.97% 5.05% (4.51%)
Michael Platt Nov 11 30 Nov 11 Jun 07 - Aug 07
ARROWGRASS INT FUND LTD 29 Feb 08 Q €2'760 M 133.76 16 Dec 11 (0.63%) (0.67%) 134.60 7.96% 4.63% (4.40%)
Nick Niell , Henry Kenner Nov 11 30 Nov 11 Apr 11 - Sep 11
BLACK DIAMOND, LTD - CLASS B (UNRESTRICTED) 31 Dec 95 Q $102 M 289.02 16 Dec 11 (0.01%) (0.74%) 289.05 6.87% 4.18% (18.58%)
Clint D. Carlson Sep 11 30 Nov 11 Aug 08 - Dec 08
BLACK RIVER DYNAMIC STRATEGIES FUND LTD 31 Jul 09 Q $107 M 100.13 31 Oct 11 (1.81%) (3.65%) 101.97 0.05% 4.93% (7.79%)
William Schatten Apr 11 30 Sep 11 Apr 10 - Jul 11
BLACKROCK MULTI-STRATEGY FUND LTD - CLASS A 30 Apr 05 M $1'436 M 1,324.14 30 Nov 11 0.52% 2.29% 1,317.35 4.35% 6.17% (13.96%)
Grace Gu Oct 11 31 Oct 11 Jun 08 - Dec 08
BLUECREST CAPL INTL LTD A USD 30 Nov 00 Q $8'670 M 416.02 16 Dec 11 0.61% 6.17% 413.48 13.77% 5.80% (4.83%)
Michael Platt Oct 11 30 Nov 11 May 03 - Aug 03
BLUEMOUNTAIN EQUITY ALTERNATIVES FUND 28 Feb 06 Q $324 M 1,837.50 16 Dec 11 (0.12%) 7.54% 1,839.71 11.06% 7.76% (9.57%)
Alan Gerstein Aug 11 30 Nov 11 Sep 08 - Feb 09
BOUSSARD & GAVAUDAN HOLDING., LTD ordinary 31 Jan 07 D €679 M 13.53 21 Dec 11 0.27% (1.94%) 13.49 4.63% 7.93% (20.69%)
shares Apr 11 30 Nov 11 May 07 - Sep 08
Emmanuel Gavaudan
BREVAN HOWARD M/S FUND, LTD – CL. A/USD 29 Feb 08 M $1'093 M 122.82 30 Nov 11 0.34% 5.82% 122.40 5.63% 5.30% (6.29%)
Alan Howard Sep 11 31 Oct 11 Feb 08 - Sep 08
BRUMMER MULTISTRATEGY 2XL, LTD - C - 30 Apr 09 M €141 M 1,201.71 15 Dec 11 1.70% 1.70% 1,181.62 7.24% 7.19% (6.51%)
B&P Asset Management (Bermuda) Ltd. Jun 10 30 Nov 11 Apr 11 - Nov 11
CQS DIRECTIONAL OPP. FUND. Ltd – 1A NI 31 Jul 05 Q $1'180 M 2,863.01 30 Nov 11 (5.04%) (13.14%) 3,015.11 18.05% 15.55% (24.58%)
Michael Hintze Nov 11 31 Oct 11 Apr 11 - Sep 11
CQS DIVERSIFIED FUND (SPC) LTD ALPHA CLASS B 28 Feb 07 Q $455 M 1,424.26 09 Dec 11 0.27% (3.34%) 1,420.41 7.67% 8.02% (14.78%)
USD Jun 11 30 Nov 11 Jun 08 - Dec 08
James Peattie & Peter Warren
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 34
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Diversified
YTD Avg. 2011 (1.82%)
Ytd Avg. 2011
Diversified / Global (1.46%)
DOUBLE BLACK DIAMOND LTD - SERIES A 31 Mar 98 Q $2'897 M 361.37 16 Dec 11 (0.17%) (0.96%) 361.99 9.82% 5.58% (17.93%)
(UNRESTRICTED) Sep 11 30 Nov 11 Aug 08 - Dec 08
Clint Carlson
FORE MULTI STRATEGY FUND LTD 31 Mar 04 Q $1'400 M 292.22 30 Nov 11 2.55% 9.10% 284.96 15.00% 11.93% (27.01%)
Matthew Li Sep 11 31 Oct 11 Feb 08 - Sep 08
GLC DIVERSIFIED FUND LTD -A- 30 Jun 93 M $138 M 61.16 16 Dec 11 (2.93%) (10.65%) 63.00 10.30% 11.52% (23.28%)
Lawrence Staden Nov 11 30 Nov 11 Oct 09 - Dec 11
HIGHBRIDGE CAPITAL CORPORATION CLASS 31 Aug 92 Q/Y $5'900 M 24,090.86 31 Oct 11 3.27% (4.43%) 23,329.08 4.69% 17.84% (78.81%)
-A-Series N Dec 09 30 Sep 11 Jun 08 - Jan 09
Highbridge Capital Mngt.
HUTCHIN HILL CAPITAL OFFSHORE FUND LTD 30 Jun 08 Q $1'400 M 1,342.06 16 Dec 11 (0.22%) (4.97%) 1,345.02 8.87% 6.88% (7.36%)
Neil Chriss Nov 11 30 Nov 11 Apr 11 - Oct 11
JABCAP GLOBAL BALANCED FUND LTD CLASS D/1 NI 30 Apr 07 W $714 M 137.17 13 Dec 11 (1.18%) (25.39%) 138.81 7.07% 13.68% (27.94%)
Philippe Jabre Nov 11 30 Nov 11 Apr 10 - Dec 11
JABCAP MULTI STRATEGY FUND LTD CLASS D/1 NI 31 Jan 07 M $862 M 102.16 30 Nov 11 (4.26%) (25.09%) 106.71 0.44% 18.36% (40.20%)
Philippe Jabre Nov 11 31 Oct 11 Feb 08 - Jan 09
LINDEN INTERNATIONAL LTD 31 May 03 Q $1'780 M 256.18 16 Dec 11 0.75% (7.26%) 254.27 11.63% 10.35% (24.60%)
Joe Wong Oct 11 30 Nov 11 Feb 08 - Dec 08
MILLENNIUM INTL LTD 31 Dec 89 Q $13'800 M 2,132.91 15 Dec 11 0.09% 7.28% 2,130.99 14.92% 4.51% (7.24%)
Israel A Englander Dec 11 30 Nov 11 May 98 - Aug 98
PLATINUM PARTNERS VALUE ARBITRAGE INT. FUND 31 Dec 02 Q $680 M 5,288.20 30 Nov 11 (0.62%) 19.17% 5,321.19 20.53% 5.14% (4.42%)
LTD Oct 11 31 Oct 11 Aug 08 - Oct 08
Mark Nordlicht
QVT OVERSEAS, LTD - B - Serie 1 31 Oct 03 Y/Q $3'565 M 2,065.45 15 Dec 11 0.08% 8.22% 2,063.80 9.33% 9.66% (37.38%)
Dan Gold Sep 11 30 Nov 11 Feb 08 - Dec 08
SHEPHERD INVEST LTD CLASS -A -COMPOSITE 30 Jun 95 S/Q $1'456 M 4,364.28 16 Dec 11 (1.11%) (5.54%) 4,413.27 9.36% 7.19% (32.63%)
Brian Stark & Mike Roh May 11 30 Nov 11 Oct 07 - Mar 09
STRATUS FUND LIMITED CLASS B 30 Nov 03 M $ 4'030M 2,114.06 16 Dec 11 0.20% 16.80% 2,109.81 9.75% 5.85% (8.14%)
Team managed Nov 11 30 Nov 11 Jun 07 - Sep 07
TWO SIGMA HORIZON CAYMAN LTD 30 Apr 08 Q $627 M 1,164.70 30 Nov 11 (0.54%) (14.34%) 1,171.08 4.34% 11.06% (17.85%)
Two Sigma Investments, LLC Oct 11 31 Oct 11 May 11 - Nov 11
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 35
Investment Group
Inception Liquidity Asset Size Last NAV Date Mtd Ytd Last Month Annual Return Annual Max DD*
Date or Index since Inception Volatility
Diversified
YTD Avg. 2011 (1.82%)
Ytd Avg. 2011
Diversified / Japan 2.63%
LIM JAPAN FUND 31 Oct 04 Q $ 116 M 168.81 16 Dec 11 0.09% 2.63% 168.65 7.62% 6.32% (10.09%)
LIM Advisors Limited Nov 11 30 Nov 11 Jun 08 - Feb 09
Multi-Strategy
YTD Avg. 2011 3.02%
Ytd Avg. 2011
Multi-Strategy / Asia 3.02%
VR GLOBAL OFFSHORE FUND LTD 30 Apr 99 Q $1'111 M 22,404.98 15 Dec 11 (0.50%) 3.02% 22,517.57 27.90% 15.68% (48.38%)
Richard Deitz Nov 11 30 Nov 11 May 08 - Mar 09
Systematic
YTD Avg. 2011 3.04%
Ytd Avg. 2011
Systematic / Global 3.04%
WINTON EVOLUTION FUND (THE) 31 Aug 05 M $114 M 1,423.61 21 Dec 11 2.11% 3.04% 1,394.19 5.76% 10.80% (14.61%)
David Harding Nov 11 30 Nov 11 Jun 08 - Jul 09
* Max DD: Peak to trough Source - HSBC Private Bank
Past performance is not a guide to future performance Alternative 36
Investment Group
HSBC Private Bank (Suisse) SA has issued this document for information purposes only. This document may not be distributed to the United States, Canada,
Australia or any other country in which its distribution is unlawful.
The information contained within this material has not been reviewed in the light of your personal circumstances. If you require investment advice or wish to
discuss the suitability of any investment decision, you should contact your Relationship Manager or you should seek such financial, legal or tax advice from
your professional advisers as appropriate.
This document is not and should not be construed as an offer to sell or solicitation of an offer to purchase or subscribe for any investment or service. HSBC
Private Bank (Suisse) SA has based this document on information obtained from sources or third party materials it believes to be reliable but which it has not
independently verified. HSBC Private Bank (Suisse) SA and the HSBC Group make no guarantees, representations or warranties and accept no responsibility or
liability as to its accuracy or completeness. Expressions of opinion herein are subject to change without notice.
Investments in alternative investments may involve substantial risks, such as the risk to lose part or all of the investment, the absence of a regular market
and illiquidity. Therefore the investor should consult the Risk Warning Section of the prospectus/offering memorandum or any other appropriate risk disclosure
document before the investment which can be requested free of charge from HSBC Private Bank (Suisse) SA.
Please note hedge funds often engage in leveraging and other speculative investment practices that may increase the risk of investment loss. They can also be
highly illiquid, are not required to provide periodic pricing or valuation information to investors, and may involve complex tax structures and delays in
distributing important information. Alternative investments are often not subject to the same regulatory requirements as, say, mutual funds, and often charge
high fees that may potentially offset trading profits when they occur.
Some products mentioned in this document are not intended for public offering in Switzerland. Consequently, this document can be distributed in/from Switzerland
only to qualified investors according to the Swiss collective investment schemes legislation.
Past performance is not a guide to future performance. The value of any investment or income may go down as well as up and you may not receive back the full
amount invested. When an investment is denominated in a currency other than your local or reporting currency, changes in exchange rates may have an adverse
effect on the value, price or income of that investment. In the case of investments for which there is no recognised market, it may be difficult for investors
to sell their investments or to obtain reliable information about their value or the extent of the risk to which they are exposed. Investment in any market may
be extremely volatile and subject to sudden fluctuations of varying magnitude due to a wide range of direct and indirect, influences. Such characteristics can
lead to considerable losses being incurred by those exposed to such markets.
Members of the HSBC Group and/or their officers, directors and employees may have positions in any securities mentioned in this document (or any related
investment) and may from time to time add to or dispose of any such securities (or investment). Members of the HSBC Group may act as market maker or have
assumed an underwriting commitment in the securities of companies discussed in this document (or related investments), may sell them to or buy them from
customers on a principal basis and may also perform or seek to perform investment banking or underwriting services for or relating to those companies.
HSBC Private Bank is the principal private banking business of the HSBC Group. Private banking may be carried out internationally by different HSBC legal
entities according to local regulatory requirements. Different companies may provide the services listed in this document within HSBC Private Bank or by other
members of the HSBC Group. Some services are not available from certain locations. Some of the HSBC Group offices listed herein may only act as representatives
of HSBC Private Bank, and are therefore not permitted to sell products and services, or offer advice to customers. They serve as points of contact only. Further
details are available on request.
© Copyright. HSBC Private Bank (Suisse) SA 2011 ALL RIGHTS RESERVED
No part of this publication may be reproduced, stored in a retrieval system, or transmitted, in any form or by any means, electronic, mechanical, photocopying,
recording or otherwise, without the prior written permission of HSBC Private Bank (Suisse) SA. PBRS/00/11/60
Past performance is not a guide to future performance Alternative 37
Investment Group