Administrative Table |
Field Name |
Description |
Code |
Unique code specific to each fund |
Fund |
Fund name |
Money Manager |
Money Management firm |
Manager Code |
Unique code specific to each management firm |
Structure |
Legal structure (Caymans Corporation, Delaware LP, etc.) |
Principals |
Principals of the Money Management firm |
City |
City of investment manager |
State |
State or province of Money Manager |
Zip |
Zip code of Money Manager |
Country |
Country of Money Manager base |
Inception |
Inception date for the specific fund |
Main Strategy |
Main investment strategy |
Sub-Strategy |
Investment sub-strategy |
Strategy Description |
Detailed description of the investment instruments used in the fund |
Fund Assets |
Total assets in the fund (updated monthly or quarterly) |
Fund Assets Currency |
Currency denomination of fund assets |
Fund Assets Date |
Date of latest fund asset size (historical data is also provided) |
Firm Assets |
Total assets under Money Management firm |
Firm Assets Currency |
Currency denomination of firm assets |
Firm Assets Date |
Date of latest firm asset size |
Leverage |
Fund Leverage Range |
Returns Denomination |
Currency base for the fund performance (i.e. USD, EUR, GBP, etc) |
Management Fee |
Annual management fee percentage |
Incentive Fee |
Annual incentive fee percentage (if available) |
High Watermark |
Specifies if fees are taken only after a high watermark |
Hurdle Rate |
Specifies whether a hurdle rate exists and the hurdle criteria |
Sales Commission Fee |
Front-end or back-end fees for investing/redeeming in the fund |
Other Fee |
Miscellaneous fees for the fund |
Minimum Investment |
Minimum investment for the fund |
Min Investment Denomination |
Currency base for minimum investment of fund |
Additional Investments |
Additional investments allowed in the fund after initial |
Individual Accounts Minimum |
Minimum assets accepted for an individual account |
New Investment |
Specifies if fund is accepting new investment |
Open to Investor Type |
Type of Investors the fund will accept |
Performance reporting |
Intervals between performance reports to investment partners |
Reporting Style |
Indicates fund performance reporting percentage as “net of all fees”, “gross of all fees”, or ‘net of management fee only” |
Annual audit |
Indicates if an annual audit is performed |
Last Audit |
Indicates date of last audit |
Audit Firm |
Specifies the firm that audits the fund and/or Money Manager |
Offshore Vehicle |
Indicates if current fund is an offshore vehicle |
Offshore Name |
Indicates the name of the offshore vehicle, if one exists |
Redemptions |
Redemption intervals from the fund (i.e. monthly, quarterly, annually) |
Subscriptions |
Subscription interval for the fund, if different from redemption interval |
Lockup |
Lockup interval (length of time that new investor cannot redeem assets) |
Advanced Days Notice |
Indicates advance notice, in days, required for Redemptions |
Administrator |
Administrator to the fund, if this is an offshore fund |
Custodian |
Custodian to the fund, if this is an offshore fund |
Brokerage |
Prime brokerage to the fund and/or Money Manager |
Banking Agent |
Banking agent to the fund and/or Money Manager |
Legal Adviser |
Legal Advisor to the fund and/or Money Manager |
In HFRI |
Indicates if fund is included in HFRI Monthly Indices |
In HFRX |
Indicates if a fund is included within the HFRX Indices |
Regional Investment Focus |
Reflects the major region and sub-region of fund investment focus |
Emerging Markets? |
Indicates if the fund’s investment focus is concentrated in Emerging Markets |
Date Added to DB |
Reflects the date a fund became active in HFR Database |
Domicile |
Location of Fund registration |
Is Diversity Firm? |
Indicates if Firm is minority-owned |
Fund Registration Code |
Indicates if Fund is registered as 3(c)1 or 3(c)7 |
Firm SEC Registered |
Indicates if Firm is SEC-Registered Investment Advisor |
Firm SEC Number |
Registered SEC Number |
Firm IARD-CRD Number |
Registered IARD-CRD Number |
Strategy Code |
Unique code for Main_Strategy field |
Sub-Strategy Code |
Unique code for Sub_Strategy field |
Region Inv Focus Code |
Unique code for Regional_Investment_Focus field |
Fund Status |
Indicates if Fund is Active or Liquidated/No Longer Reporting |
UCITSIII |
Indicates whether or not a fund complies with UCITS reporting methodology |