_. • t: Hedge Weekly N°23
°r"--4;3" - 4-$7:14tdethr
Investment Funds Performance Review
HSBC Alternative Investment Group
Week of Monday 02 Jun to Friday 06 Jun 2014
Alternative Investment Products are:
HSBC ID
NOT A DEPOSIT OR NOT FDIC INSURED NOT INSURED BY NOT GUARANTEED SUBJECT TO
. .• OTHER OBLIGATION ANY FEDERAL BY THE BANK OR ANY INVESTMENT RISK.
OF THE BANK OR GOVERNMENT OF IRS AFFILIATES INCLUDING POSSIBLE
ANY OF ITS AGENCY OF THE LOSS OF PRINCIPAL
AFFILIATES UNITED STATES INVESTED
EFTA00619963
Contents
Index by Strategies 3
Index by Funds 4
Top/Bottom 20 9
Newsletter 12
About This Document 54
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 2
EFTA00619964
Index by Strategies
Commodity 37
Convertible Arbitrage
Commodity-Systematic 37
Convertible 12 Currency 37
Credit Long/Short Diversified 38
Credit 13 Fixed Income 41
Systematic 41
Distressed
Managed Futures
Distressed Security 18
Commodity 42
Equity Long/Short Currency 42
Equity-Commodity 20 Fixed Income 42
Equity-Diversified 21 Systematic 44
Equity-Energy 27 Market Neutral
Equity-Financial 28
Equity-Healthcare 28 Discretionary 45
Equity-Mid-Small Cap 28 Equity Diversified 46
Equity-Pharma-Biotech 29 Multi-Strategy 46
Equity-Real Estate 30 Statistical Arbitrage 47
Equity-Technology 30 Systematic 47
Equity-Utility 30 Merger Arbitrage
Event Driven Merger-Arbitrage 48
Equity-Diversified 31 Multi-Strategy
Multi-Strategy 31 Credit 49
Fixed Income Arbitrage Diversified 49
Fixed Income 33 Volatility Arbitrage
Fund of Funds Arbitrage 53
Arbitrage 34
Event Driven 34
Long/Short 34
Macro 34
Multi-Strategy 35
Trading 35
Long Only
Equity-Diversified 36
Macro
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group 3
so.ree I ISBC
EFTA00619965
Index by Funds
ALYSHEBA FUND LIMITED 26 BLACKROCK MULTI-STRATEGY FUND 50 BTG PACTUAL GLOBAL EM. MKTS AN 39
4 AMAZON MARKET NEUTRAL FUND CLA 45 BLACKROCK 32 CAPITAL MASTER FU 47 BTG PACTUAL GLOBAL EQUITY OPPO 50
ANAVON MASTER FUND LTD CLASS - 23 BLACKROCK CAPITAL STRUCTURE IN 50
400 CAPITAL CREDIT OPPORTUNITI 16
ANDURAND COMMODITIES FUND 37 BLACKROCK EUROPEAN DIVERSIFIED 46 Ci
A ANTARES EUROPEAN FUND. LTD - U 22 BLACKROCK FIXED INCOME GLOBAL 33
CAIRN CREDIT FOCUS FUND LTD 13
AOUILUS INFLECTION FUND LTD E 22 BLACKROCK OBSIDIAN FUND 33
CAIRN SPECIAL OPPORTUNITIES CR 13
A.R.T. INTERNATIONAL INVESTOR 47 ARCUS JAPAN FUND -JPY- 25 BLACKROCK UK EQUITY HEDGE FUND 26
CAMPBELL GLOBAL ASSETS FUND LT 42
ABSOLUTE INSIGHT CREDIT FUND B 13 ARISTEIA INTERNATIONAL LTD 14 BLUEBAY CREDIT ALPHA LONG SHOR 14
CAMPBELL GLOBAL ASSETS FUND LT 43
ABSOLUTE INSIGHT EMERGING MARK 13 ARMAJARO COMMODITIES FUND CLAS 37 BLUEBAY EMERGING MARKET FIXED 13
CAMPBELL GLOBAL ASSETS FUND LT 47
ABSOLUTE INSIGHT UK EQUITY MKT 45 ARMAJARO EMERGING MARKETS FUND 21 BLUECREST CAPL INTL LTD A USD 50
CANDLEWOOD SPECIAL SITUATIONS 18
ACUITY CORPORATE OPPORTUNITY F 17 ARMAJARO STS COMMODITIES FUND 37 BLUECREST EMERGING MARKETS FUN 38
CANDLEWOOD STRUCTURED CREDIT F 15
ADELPHI EMERGING EUROPE. FUND 21 ARROWGRASS MASTER FUND 49 BLUECREST MULTI STRATEGY CREDI 14
CANDLEWOOD STRUCTURED CREDIT H 15
ADELPHI EUR. FUNDS (A) 22 ASCEND PARTNERS FUND II LTD - 26 BLUEMATRIX FUND CLASS -A- USD 47
CANOSA GLOBAL MACRO FUND LTD 39
ADRIGO HEDGE 22 ASGARD FIXED INCOME FUND LTD 14 BLUEMOUNTAIN CREDIT ALTERNATIV 14
CANTAB CAPITAL PARTNERS QUANTI 43
AG MORTGAGE VALUE PARTNERS LTD 14 ASPECT DIVERSIFIED FUND - CLAS 42 BLUEMOUNTAIN EQUITY ALTERNATIV 53
CANYON BALANCED FUND LTD CLA 49
AG SUPER FUND INTERNATIONAL. L 31 ATLAS ENHANCED FUND LTD 49 BLUEMOUNTAIN LONG SHORT CREDIT 14
CANYON VALUE REALIZATION FD. L 18
AHL (cayman) SPC EVOLUTION USD 42 ATLAS FUNDAMENTAL TRADING FUND 24 BLUETREND FUND. LTD -CLASS A 42
CAPEVIEW AZRI 2X FUND 22
AHL ALPHA 42 ATLAS GLOBAL INVESTMENTS LTD U 49 BNY MELLON ARX BRAZIL FUND SPC 21
CAPEVIEW AZRI FUND 22
AHL DIMENSION USD SHARES CLASS 49 AXONIC CREDIT OPPORTUNITIES OV 14 BORONIA DIVERSIFIED FUND MASTE 42
CAPEVIEW RECOVERY FUND 13
AHL DIVERSIFIED 42 AXONIC SYSTEMATIC ARBITRAGE OV 33 BOUSSARD & GAVAUDAN HOLDING LT 50
CAPITAL FOUR CREDIT OPPORTUNIT 13
AJIA-LIGHTHORSE CHINA GROWTH F 20 BREVAN HOWARD ASIA FUND LIMITE 38
CAPITAL FUND. LTD (THE) 39
AJR INTERNATIONAL (BVI). INC. 26 B BREVAN HOWARD COMMODITIES STRA 37
CAPULA GLOBAL RELATIVE VALUE F 33
AKAMATSU FUND 25 BREVAN HOWARD CREDIT CATALYSTS 15
BAF LATAM TRADE FINANCE FUND 13 CASSIOPEIA FUND CLASS C 53
ALLBLUE LIMITED 49 BREVAN HOWARD CREDIT VALUE FU 15
BASSO INVESTORS LTD 12 CASTLEROCK FUND LTD 26
ALLIANCE BERNSTEIN SELECT US E 26 BREVAN HOWARD FUND. LTD-USD 39
BAY POND INVESTORS (BERMUDA). 27 CAXTON GLOBAL INVESTMENT LTD 39
ALPHA4X CAPITAL GROWTH FUND 38 BREVAN HOWARD INVEST. FUND E 41
BAY RESOURCES PARTNERS OFFSHOR 26 CC ASIA ABSOLUTE RETURN FUND 20
ALPHADYNE INVESTMENT STRATEGIE 38 BREVAN HOWARD MIS FUND. LTD - 50
BCM WESTON LP (BILLINGS CAPITA 26 CCI HEALTHCARE PARTNERS LTD 28
ALPHAGEN HOKUTO FUND LTD - CIA 25 BRIGADE LEVERAGED CAPITAL STRU 17
BEACH POINT TOTAL RETURN OFFSH 17 CERBERUS INTL. LTD CLASS A A/ 18
ALPHAGEN JAPAN ABS RETURN FD. 25 BROOKFIELD GLOBAL LISTED INFRA 24
BEACONLIGHT OFFSHORE FUND LTD 24 CHENAVARI CORPORATE CREDIT STR 15
ALPHAGEN OCTANIS CLASS A 26 BROOKFIELD GLOBAL REITS LONG S 30
BLACK DIAMOND RELATIVE VALUE L 45 CHENAVARI MULTI STRATEGY CREDI 49
ALPHAGEN VOLANTIS FUND. LTD - 29 BRUMMER MULTISTRATEGY 2XL. LTD 50
BLACK DIAMOND. LTD - CLASS B 50 CHENAVARI REGULATORY CAPITAL S 13
ALYDAR FUND LTD 26 BRYN MAWR OFFSHORE LTD 47
BLACKROCK EOS CLASS B USD COM 47 CHENAVARI TORO CAPITAL I A 14
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 4
Source HSBC
EFTA00619966
Index by Funds
CHILTON CHINA OPPORTUNITIES FU 20 DUET GLOBAL FUND PLUS 24
COBALT OFFSHORE LTD 26 DYMON ASIA MACRO FUND (SERIES 37 G H
COHERENCE CAPITAL SPECTRUM FUN 15
GABELLI ASSOCIATES LIMITED - C 48 HABROK LTD 24
COMAC GLOBAL MACRO FUND 39 E
GAM DIVERSITY I INC - US$ CLAS 35 HALCYON OFF. ASSET-BACKED VALU 19
COMMONWEALTH OPPORTUNITY CAYMA 39
EAGLE GLOBAL FUND 43 GAM DIVERSITY II INC - US$ CLA 35 HALCYON PARTNERS OFFSHORE FUND 50
CONQUEST MACRO FUND. LTD (COMP 43
EAGLE QUANTITATIVE MACRO FUND 41 GAM GLOBAL RATES HEDGE FUND 39 HARBOUR HOLDINGS LTD 29
CONTRARIAN CAPITAL FUND I OFFS 18
ECLECTICA FUND (THE) CLASS A E 39 GAM TALENTUM ENHANCED EUROPE L 46 HARMONIC ALPHA PLUS MACRO FUN 40
CONTRARIAN EMERGING MARKETS OF 13
EDGESTREAM NIAS FUND 43 GAM TRADING II USD 35 HARNESS MACRO CURRENCY FUND 37
COOPER CREEK PARTNERS LLC 29
EIFFEL CREDIT OPPORTUNITIES FU 14 GAMUT INVESTMENTS 39 HARVEY SMIDCAP OFFSHORE FUND L 29
COS ABS FEEDER FUND CLASS -B 15
ELEMENT CAPITAL FUND 39 GAVEA FUND LTD . CLASS A Si1 38 HIGHBRIDGE CAPITAL CORPORATION 50
COS ASIA FEEDER FUND LTD- CLAS 12
ELLINGTON CREDIT OPPORTUNITIES 15 GEMS PROGR. FUND SICAV RECOVER 34 HORSEMAN GLOBAL FUND USD 24
COS CONV 8 WANT STRATS FEED F 12
ELLINGTON MORTGAGE OPPORTUNITI 15 GLADE BROOK GLOBAL OFFSHORE FU 24 HSBC ASIAN ADVANTEDGE FUND 34
COS CREDIT LONG SHORT FEEDER F 15
ELM RIDGE CAPITAL PARTNERS L.P 26 GLENVIEW CAPITAL PARTNERS (CAY 26 HSBC CREDIT MARKET OPPORTUNITI 34
COS DIRECTIONAL OPP. FEEDER FU 50
EMINENCE FUND LTD A INITIAL S 26 GLG CROSS ASSET VALUE OFFSHORE 14 HSBC GH FUND USD 35
COS DIVERSIFIED FUND (SPC) LTD 50
ENNISMORE EUROPEAN SMALLER COM 28 GLG EUROPEAN EQUITY ALTERNATIV 46 HSBC HEDGE INVESTMENTS FUND 35
CRABEL FUND SPC LTD CLASS A 43
EPISODE INC. CLASS A 39 GLG EUROPEAN LONG SHORT FUND C 22 HSBC LEVERAGED GH FUND 35
CUMULUS ENERGY FUND CLASS A US 42
EQUILIBRIA JAPAN FUND LTD IX U 45 GLG MARKET NEUTRAL FUND - CLAS 50 HSBC MAA FUND USD 34
CYGNUS UTILITIES. INFRASTRUCTU 30
EQUILIBRIA JAPAN FUND LTD 2X 45 GOLDEN CHINA FUND NR CLASS 20 HSBC NEXT GENERATION FUND NNI 35
EXANE ARCHIMEDES FUND CLASS A 30 GRAHAM ABSOLUTE RETURN TRADING 39 HSBC SPECIAL OPPORTUNITIES FUN 34
D
EXANE MICROMEGAS FUND LTD- CLA 45 GRAHAM GIF II PROPRIETARY MATR 43 HSBC TRADING ADVANTEDGE FUND 35
DAVIDSON KEMPNER DIST. OPP. IN 18 EXANE TEMPLIERS FUND 24 GRAHAM GLOBAL INVESTMENT FUND 39 HSBC UCITS ADVANTEDGE FUND -US 35
DAVIDSON KEMPNER INTL. LTD C 31 GRAHAM GLOBAL INVESTMENT FUND 43 HT ASIAN CATALYST FUND LLC 20
DB PLATINUM IV DBX SYSTEMATIC 43 F GRAHAM GLOBAL INVESTMENT FUND 43 HUDSON BAY INTERNATIONAL FUND 46
DB PLATINUM V HERMES A.R. COMM 37 GRAHAM GLOBAL INVESTMENT FUND 43 HUTCHIN HILL DIVERSIFIED ALPHA 51
FARRINGDON ALPHA ONE 24
DB SELECT EUROFIN ACCURATE FX 42 GRAHAM GLOBAL INVESTMENT FUND- 40
FINISTERRE SOVEREIGN DEBT FUND 13
DIAMOND CAPITAL MANAGEMENT 35 GREEN FUND LLC GREEN CLASS 38
FIREBIRD NEW RUSSIA FUND. LTD 21
DISCOVERY GLOBAL MACRO FUND LT 39 GREEN T G2 FUND 15
FIREBIRD REPUBLICS FUND. LTD 21 III FUND LTD 33
DISCOVERY GLOBAL OPPORTUNITY F 39 GREENLIGHT CAPITAL OFFSHORE. L 29
FOC PARTNERS CAPITAL I FUND 15 III RELATIVE VALUE CREDIT STRA 33
DISCUS FEEDER LTD CL. B USD ST 43 GROWTH MANAGEMENT LTD 21
FORT GLOBAL DIVERSIFIED 43 III SELECT CREDIT FUND LTD CLA 15
DORSET ENERGY FUND. LTD CLAS 27 GRT TOPAZ OFFSHORE PARTNERS. L 29
FORTRESS ASIA MACRO FUND 38 INVICTA OFFSHORE FUND LTD 27
DOUBLE BLACK DIAMOND LTD - SER 50 GSA CAPITAL INTERNATIONAL FUND 47
FORTRESS MACRO FUND LTD. CLAS 39 IP ALL SEASONS ASIAN CREDIT HE 13
DROMEUS GLOBAL OPPORTUNITIES F 31
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 5
SC.I"Ce HSBC
EFTA00619967
Index by Funds
ISAM SYSTEMATIC FUND CLASS A 43 LAZARD GLOBAL HEXAGON FUND 24 MARSHALL WACE MW GLOBAL FINA 28 MOORE MACRO MANAGERS FUND. LTD 40
IVORY CAPITAL FLAGSHIP STRATEG 27 LAZARD RATHMORE FUND - CLASS A 12 MARSHALL WACE MW GLOBAL OPPO 24 MS ASCEND UCITS FUND CLASS I E 25
IVORY OPTIMAL FUND LTD 27 LC CAPITAL OFFSHORE FUND. LTD 18 MARSHALL WACE MW MARKET NEUT 45 MUDRICK DISTRESSED OPPORTUNITY 18
LC EQUITY FUND LTD 22 MARTIN CURRIE ARF JAPAN FUND 25
J LIM ASIA MULTI-STRATEGY FUND C 46 MARTIN CURRIE EUROPEAN HEDGE F 22 N
LIM JAPAN FUND 52 MASTERS FUND LTD MAGNOLIA SERI 34
JABCAP EMEA FUND CLASS X1 21 NEVSKY FUND PLC (COMPOSITE) 25
LINDEN INTERNATIONAL LTD si MAVERICK FUND. LTD CLASS Art 24
JABCAP GLOBAL BALANCED FUND LT 51 NEZU CYCLICALS FUND LTD 20
LION FUND. LTD (THE) 48 MBAM ACTIVE ENHANCED 22
23
JABCAP GLOBAL CONVERTIBLE FUND 12 NORDIC ALPHA CLASS B - NOK
LIONSCREST TAILPRO -US EQUITY 53 MBAM ACTIVE LONG SHORT 45
JABCAP MULTI STRATEGY FUND LTD 51
LMR FUND LTD 51 MELLON OFF GLOB OPP FUND LTD - 40 O
JENOP GLOBAL HEALTHCARE FUND L 28
LNG EUROPA CREDIT FUND 14 MELLON OFF. ALPHAACCESS FUND L 40
JPMORGAN PORT. STRAT. FUNDS-EU 22
LONDON DIVERSIFIED FUND. LTD - 33 MERCHANT COMMODITY FUND (THE) 37 OBSERVATORY CREDIT MARKETS FUN 14
LOOMIS SAYLES CREDIT LONG SHOP 1S MIDOCEAN ABSOLUTE RETURN CREDI 17 OCCO EASTERN EUROPEAN FUND A S 21
K
LUCERNE CAPITAL OFFSHORE FUND 22 MIDOCEAN CREDIT OPPORTUNITY FU 17 OCEANIC HEDGE FUND - CLASS A 20
KALTCHUGA FUND - RUSSIA EO. SU 21 LUCIDUS CAPITAL G4 FUND 1S MILLENNIUM INTL LTD 51 OCP DEBT OPPORTUNITY INTERNATI 17
KAMUNTING STREET OFFSHORE FUND 33 LYNX (BERMUDA) LTD 43 MKP CREDIT OFFSHORE FUND 16 OCTAGON HIGH INCOME FUND 17
KEYNES LEVERAGED QUANTITATIVE 43 LYNX BERMUDA 1.5 LTD 44 MKP OPPORTUNITY OFFSHORE. LTD 40 OCTAGON PAN ASIA FUND 20
KG INVESTMENT FUND LLC 31 MLIS BEACH POINT DIVERSIFIED 16 ODEY EUROPEAN. INC (EUR) 23
KIMA PAN ASIA OFFSHORE FUND - 20 M MLIS CCI HEALTHCARE LONG SHO 28 OMEGA OVERSEAS PARTNERS. LTD 27
KINETICS FUND. INC A/A 27 MLIS GRAHAM CAPITAL SYSTEMAT 44 OMNI MACRO FUND I LIMITED 40
M. KINGDON OFFSHORE NV A/1 24
KING STREET CAPITAL. LTD 18 MLIS MARSHALL W. TOPS UCITS 45 ONE WILLIAM STREET CAPITAL FUN 17
MACQUARIE ASIAN ALPHA FUND 46
KING STREET EUROPE LTD CLASS A 18 MLIS OZ EUROPE UCITS FUND CL 31 ONSLOW MACRO FUND CLASS A 40
MACQUARIE CREDIT NEXUS FUND LT 16
KINGDON CREDIT LTD A1/1 15 MLIS THEOREMA EUROPEAN EQUIT 22 ORTUS FUND (CAYMAN) LTD 42
MADISON STREET FUND L.P. 27
KINSALE COMPASS FUND 24 MLIS YORK EVEN DRIVEN UCITS 31 OWL CREEK OVERSEAS FUND. LTD 32
MADRAGUE EQUITY LONG SHORT 22
KL Special Opportunities FUND 31 MLM MACRO PEAK PARTNERS OFFSH 40 OWS CREDIT OPPORTUNITY FUND 18
MAN GLG MULTI-STRATEGY FUND CL 51
KLS DIVERSIFIED FUND LTD 33 MOJNA ALPHA LEVERAGED MASTER F 23 OYSTER CREDIT OPPORTUNITIES FU 14
MAN GLG MULTI-STRATEGY UCITS C 51
KROM RIVER COMMODITY FUND 37 MOJNA ALPHA MASTER FUND - EUR 23 OYSTER MARKET NEUTRAL EUR 45
MARATHON VERTEX JAPAN FD. LTD 25
MONARCH DEBT RECOVERY FUND LTD 18
MARCATO INTERNATIONAL LTD 31
L MONEDA ABSOLUTE RETURN LTD SUB 31 p
MARINUS OPPORTUNITIES FUND (PR 17
MONEDA LATIN AMERICAN CORPORAT 13
LANSDOWNE DEVELOPED MARKET FUN 24 MARSHALL WACE MW CORE A USD 22 PALOMA INTERNATIONAL LTD CLASS 51
MONTLAKE SKYLINE UCITS FUND IN 21
LANSDOWNE EUROPEAN EQUITY FD. 22 MARSHALL WACE MW EUREKA Al E 24 PALOMINO FUND LTD CLASS B ORIG 16
MOORE GLOBAL INV FD. LTD A 40
LANSDOWNE GLOBAL FINANCIALS FU 28 MARSHALL WACE MW EUROPEAN TO 22 PAMPLONA CREDIT OPPORTUNITIES 14
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 6
Sexce I ISBC,
EFTA00619968
Index by Funds
PAN ASIA OPPORTUNITIES FUND LT 4s PLATINUM PARTNERS VALUE ARBITR 51 SALAR CONVERTIBLE ABSOLUTE RET 12 THE CAMBRIDGE STRATEGY APOLL 38
PASSPORT GLOBAL STRATEGY FUND 25 POLAR CAPITAL EUROP CONVICTION 23 SCHRODER CAZENOVE UK ABSOLUTE 45 THE CAMBRIDGE STRATEGY ASIAN 37
PASSPORT LONG SHORT STRATEGY F 25 POLAR CAPITAL EUROPEAN FORAGER 28 SCHRODER ISF EMERGING MARKET D 13 THE CAMBRIDGE STRATEGY EMERG 38
PASSPORT SPECIAL OPPORTUNITIES 25 POLLUX BRAZILIAN EQUITIES FUND 21 SEGANTII ASIA-PACIFIC EQUITY M 49 THE CAMBRIDGE STRATEGY- EXTEN 38
PAULSON ADVANTAGE LTD -A- 32 PORTLAND HILL OVERSEAS FUND LT 31 SELIGMAN TECH SPECTRUM FUND CL 30 THEOREMA EUROPE FUND PLUS LTD 23
PAULSON ADVANTAGE PLUS LTD 32 PROLOGUE FEEDER FUND. LTD. CLA 33 SEMINOLE OFFSHORE FUND 27 THREE BRIDGES EUROPE MASTER FU 23
PAULSON CREDIT OPPORTUNITIES L 18 PROSIRIS GLOBAL OPPORTUNITIES 16 SENVEST PARTNERS. LTD CLASS 29 TIG ARBITRAGE ENHANCED FUND 48
PAULSON ENHANCED LTD 48 SFP VALUE REALIZATION FUND 25 TIG SECURITIZED ASSET FUND LTD 16
PAULSON INTERNATIONAL. LTD 48 SIERRA EUROPE OFFSHORE. LTD - 23 TILDEN PARK OFFSHORE INVESTMEN 17
PAULSON RECOVERY FUND LTD 32 SILVER POINT CAPITAL OFFSHORE 18 TONGA PARTNERS LP 29
OVT OFFSHORE LTD CLASS 1-NR 51
PEGASUS FUND LIMITED SHARES A- 26 SILVERBACK ARBITRAGE FUND 12 TOSCA CLASS A USD 28
PELAGUS CAPITAL FUND 33 SINFONIETTA FUND 38 TRADELINK INTEGRATED PROGRAM L 44
R
PELHAM LONGISHORT FUND LTD CIA 23 SOLAISE SYSTEMATIC FUND LTD 44 TRAXIS SIVIK GLOBAL HEALTHCARE 29
PENSATO EUROPA FUND LTD EURO C 23 FLAB SPECIAL SITUATION FD LTD 28 SOLUS SOLA LTD CL. I 32 TREND MACRO OFFSHORE LTD 40
PERCEPTIVE LIFE SCIENCES OFFSH 29 RAVEN ROCK CREDIT OFFSHORE FUN 17 SOMERSET SPECIAL OPPORTUNITIES 32 TRIAN PARTNERS LTD 32
PERRY PARTNERS INTERNATIONAL I 32 RBR EUROPEAN LONG SHORT LTD (E 23 SPF CREDIT SUISSE SECURITIZED 16 TRICADIA CREDIT STRATEGIES. LT 16
PERSHING SQUARE INTL.LTD 32 REAL RETURN ASIAN FUND LTD (TH 20 SPINNAKER GLOB OPP FUND. LTD C 38 TRISHIELD SPECIAL SITUATIONS F 32
PHALANX JAPAN AUSTRALASIA MULT 49 REDWOOD OFFSHORE FUND 19 SPINNAKER GLOBAL EMERGING MARK 49 TRISTAN PARTNERS LP 29
PHARO MACRO FUND LTD 40 RENAISSANCE INSTITUTIONAL DIVE 51 SR GLOBAL FUND C - INTERNATION 25 TT INTERNATIONAL FUND 40
PHARO TRADING FUND 38 RENAISSANCE INSTITUTIONAL EOUI 27 SR GLOBAL FUND H- JAPAN (Real 25 TT MID-CAP EUROPE LONG/SHORT F 23
PIMCO ABSOLUTE RETURN STRATEGY 33 RENAISSANCE INSTITUTIONAL FUTU 44 SR GLOBAL FUND INC G - GLOBA 21 TUDOR B.V.I GLOBAL FUND LTD -A 40
PIMCO GLOBAL CREDIT OPPORTUNIT 16 RESIDENTIAL REAL ESTATE TOTAL 16 SR PHOENICIA INC CLASS -A- SER 21 TUDOR B.V.I GLOBAL FUND LTD -A 40
PIMCO MULTI-ASSET VOLATILITY F 53 ROSEMONT OFFSHORE FUND LTD CLA 47 STANDARD PACIFIC CAPITAL -B- 25 TUDOR DISCRETIONARY MACRO FUND 41
PINE RIVER ASIA FUND 12 RUBICON GLOBAL FUND. LTD 40 STK CAPITAL GLOBAL EQUITIES 25 TULIP TREND FUND. LTD - A 44
PINE RIVER CONVERTIBLES FUND 12 RUSSIAN PROSPERITY FUND - A 36 STONE LION FUND LTD CLASS A 18 TWO SIGMA ABSOLUTE RETURN FUND 46
PINE RIVER CREDIT RELATIVE VAL 16 RWC SAMSARA FUND CLASS A EURO 23 STRATEGIC VALUE RESTRUCTURING 18 TWO SIGMA COMPASS CAYMAN FUND 44
PINE RIVER FIXED INCOME FUND L 16 RWC US ABSOLUTE ALPHA FUND C 27 STRATUS FUND LIMITED CLASS B 51 TWO SIGMA HORIZON CAYMAN LTD 51
PINE RIVER FUND CLASS -B1- SHA 51 SUSA EUROPEAN EQUITIES FUND CL 23 TYRUS CAPITAL EVENT FUND LTD 32
PINE RIVER LIQUID MORTGAGE FUN 33 S TYRUS CAPITAL OPPORTUNITIES FU 32
PINPOINT CHINA FUND CLASS A US 20
SAB OVERSEAS FUND LTD 27
T
PINPOINT MULTI-STRATEGY FUND 40 SABA CAPITAL OFFSHORE FUND LTD 18 TELLIGENT GREATER CHINA FUND 20
U
PLATINUM FUND LTD 25
SAGIL LATIN AMERICAN OPPORTUNI 21 TEWKSBURY INVESTMENT FUND. LTD 44 UMJ KOTOSHIRO FUND 26
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 7
Source HSBC
EFTA00619969
Index by Funds
V
VAN ECK HARD ASSETS 2X FUND LT 20
VARDEN PACIFIC OPPORTUNITY OFF 16
VISIUM BALANCED OFFSHORE FUND 29
VISIUM GLOBAL OFFSHORE FUND LT 51
VISIUM INSTITUTIONAL PARTNERS 28
VR GLOBAL OFFSHORE FUND LTD 19
w
WATERSTONE MARKET NEUTRAL OFFS 12
WEISS MULTI-STRATEGY PARTNERS 52
WF ASIA FUND LTD 5/1 20
WHITEBOX MULTI-STRATEGY FUND 32
WINTON EVOLUTION FUND (THE) 44
WINTON FUTURES FUND CLASS B 44
WYETREE EUROPEAN RECOVERY FUND 14
WYETREE YIELD DISTRIBUTION FUN 17
YORK ASIAN OPPORTUNITIES UNITS 31
YORK INVESTMENT LTD -CLASS A-U 32
z
ZADIG FUND CLASS Al 23
ZEAL CHINA FUND LIMITED 21
ZWEIG-DIMENNA INTL LIMITED - C 27
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group 8
Source 14560
EFTA00619970
Top & Bottom 20 Funds of 2014
Top Bottom
Investment Funds Return Date Investment Funds Return Date
PERSHING SQUARE INTL.LTD 22.67 31 May 14 MELLON OFF. ALPHAACCESS FUND LTD MCY A/ 23.78 30 Apr 14
PHARO TRADING FUND 17.98 23 May 14 RUBICON GLOBAL FUND. LTD -19.13 31 May 14
CUMULUS ENERGY FUND CLASS A USD 16.28 31 May 14 EAGLE GLOBAL FUND -18.05 30 May 14
CHENAVARI TORO CAPITAL I A 15.90 30 May 14 SR GLOBAL FUND C INTERNATIONAL (Real Pert) -17.45 31 May 14
TYRUS CAPITAL OPPORTUNITIES FUND LTD 15.79 31 May 14 CC ASIA ABSOLUTE RETURN FUND -15.94 30 Apr 14
TRISHIELD SPECIAL SITUATIONS FUND LLC 15.32 30 Apr 14 SR GLOBAL FUND H JAPAN (Real Pert) -15.79 31 May 14
TYRUS CAPITAL EVENT FUND LTD 15.09 31 May 14 DISCOVERY GLOBAL MACRO FUND LTD CLASS -A- -14.08 30 May 14
SERIES 1
BROOKFIELD GLOBAL REITS LONG SHORT STRATEGY 14.63 31 May 14
ODEY EUROPEAN. INC (EUR) -13.92 14 May 14
MUDRICK DISTRESSED OPPORTUNITY FUND LTD 13.58 31 May 14
MELLON OFF GLOB OPP FUND LTD - MULTICURRENCY - -12.16 30 Apr 14
MERCHANT COMMODITY FUND (THE) - COMPOSITE 13.04 31 May 14
Al
DORSET ENERGY FUND. LTD CLASS A 12.65 31 May 14 SINFONIETTA FUND -10.73 31 May 14
TWO SIGMA COMPASS CAYMAN FUND 12.63 31 May 14 DISCOVERY GLOBAL OPPORTUNITY FUND. LTD -10.46 30 May 14
LINDEN INTERNATIONAL LTD 12.42 31 May 14
ZWEIG-DIMENNA INTL LIMITED CLASS A -9.80 30 Apr 14
PASSPORT SPECIAL OPPORTUNITIES FUND LTD CLASS 11.62 31 May 14 PEGASUS FUND LIMITED SHARES A-1 -9.42 30 May 14
AA
ZEAL CHINA FUND LIMITED -9.39 30 May 14
ATLAS FUNDAMENTAL TRADING FUND LTD- CLASS A 11.37 30 Apr 14
NNI EAGLE QUANTITATIVE MACRO FUND LTD -9.14 31 May 14
SOLUS SOLA LTD CL. I 11.32 31 May 14 LANSDOWNE GLOBAL FINANCIALS FUND LTD. -N-USD -9.11 31 May 14
RAB SPECIAL SITUATION FD LTD 11.27 30 Apr 14 CHILTON CHINA OPPORTUNITIES FUND LTD -9.10 30 Apr 14
RBR EUROPEAN LONG SHORT LTD (Ex Rhine Alpha Stars) 10.75 31 May 14 INVICTA OFFSHORE FUND LTD -8.80 30 Apr 14
AHL (cayman) SPC EVOLUTION USD 10.61 31 May 14 MARTIN CURRIE ARF - JAPAN FUND -8.51 26 May 14
AMAZON MARKET NEUTRAL FUND CLASS A USD 10.23 30 May 14 AJIA-LIGHTHORSE CHINA GROWTH FUND LTD -7.75 31 May 14
This ranking is for information only and should not be considered as exhaustive.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group 9
Source - HSBC
EFTA00619971
Top & Bottom 20 Funds of 2013
Top Bottom
Investment Funds Return Date Investment Funds Return Date
SFP VALUE REALIZATION FUND 82.12 31 Dec 13 RAB SPECIAL SITUATION FD LTD -32.86 31 Dec 13
SENVEST PARTNERS. LTD - CLASS A 79.51 31 Dec 13 CANTAB CAPITAL PARTNERS QUANTITATIVE FUND -27.65 31 Dec 13
(THE) - USD ARISTARCHUS
PEGASUS FUND LIMITED SHARES A-1 63.74 31 Dec 13
WATERSTONE MARKET NEUTRAL OFFSHORE FUND. -19.27 31 Dec 13
PAULSON RECOVERY FUND LTD 63.18 31 Dec 13
LTD
SR GLOBAL FUND H JAPAN (Real Pert) 62.51 31 Dec 13 ORTUS FUND (CAYMAN) LTD -17.32 31 Dec 13
BCM WESTON LP (BILLINGS CAPITAL MANAGEMENT) 50.32 31 Dec 13 EAGLE GLOBAL FUND -15.88 31 Dec 13
OWL CREEK OVERSEAS FUND. LTD 48.63 31 Dec 13
BLUETREND FUND. LTD CLASS A -11.50 31 Dec 13
JABCAP GLOBAL BALANCED FUND LTD CLASS D/1 NI 47.80 31 Dec 13 ISAM SYSTEMATIC FUND CLASS A -10.67 31 Dec 13
PASSPORT SPECIAL OPPORTUNITIES FUND LTD CLASS 45.50 31 Dec 13 DISCUS FEEDER LTD CL. B USD STANDARD LEVERAGE -10.32 31 Dec 13
AA
EAGLE QUANTITATIVE MACRO FUND LTD -10.32 31 Dec 13
PERCEPTIVE LIFE SCIENCES OFFSH FUND. LTD 43.88 31 Dec 13
THE CAMBRIDGE STRATEGY EXTENDED MARKETS -9.96 31 Dec 13
JABCAP MULTI STRATEGY FUND LTD CLASS D/1 NI 43.03 31 Dec 13 CURRENCY ALPHA
GLENVIEW CAPITAL PARTNERS (CAYMAN). LTD. 42.90 31 Dec 13 HSBC TRADING ADVANTEDGE FUND -8.75 31 Dec 13
PALOMINO FUND LTD CLASS B ORIGINAL SERIES 42.36 31 Dec 13 HARMONIC ALPHA PLUS MACRO FUND - USD CLASS -8.34 31 Dec 13
TRIAN PARTNERS LTD 40.06 31 Dec 13 ARMAJARO STS COMMODITIES FUND CLASS -Z- -7.80 31 Dec 13
KINETICS FUND. INC ArA 39.73 31 Dec 13
CONQUEST MACRO FUND. LTD (COMP) -7.66 31 Dec 13
TRISTAN PARTNERS LP 38.52 31 Dec 13 LC CAPITAL OFFSHORE FUND. LTD -7.55 31 Dec 13
SR GLOBAL FUND C INTERNATIONAL (Real Peri) 36.28 31 Dec 13 ALPHA4X CAPITAL GROWTH FUND -733 31 Dec 13
TONGA PARTNERS LP 34.84 31 Dec 13
SABA CAPITAL OFFSHORE FUND LTD 476 31 Dec 13
SINFONIETTA FUND 34.47 31 Dec 13 KROM RIVER COMMODITY FUND 447 31 Dec 13
LANSDOWNE DEVELOPED MARKET FUND. LTD (GBP) 33.26 31 Dec 13 LIONSCREST TAILPRO -US EQUITY FUND 433 31 Dec 13
COS CREDIT LONG SHORT FEEDER FUND LTD B1 EUR 423 31 Dec 13
This ranking is for information only and should not be considered as exhaustive.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 10
Source - HSBC
EFTA00619972
Top & Bottom 20 Funds of 2012
Top Bottom
Investment Funds Return Date Investment Funds Return Date
TRISHIELD SPECIAL SITUATIONS FUND LLC 52.21 31 Dec 12 CONQUEST MACRO FUND. LTD (COMP) .3116 31 Dec 12
SFP VALUE REALIZATION FUND 44.54 31 Dec 12 RAB SPECIAL SITUATION FD LTD .27.94 31 Dec 12
TILDEN PARK OFFSHORE INVESTMENT FUND LTD 41.34 31 Dec 12 PAULSON ADVANTAGE PLUS LTD .21.50 31 Dec 12
BROOKFIELD GLOBAL REITS LONG SHORT STRATEGY 40.00 31 Dec 12 ARMAJARO STS COMMODITIES FUND CLASS -Z- -18.15 31 Dec 12
CHENAVARI REGULATORY CAPITAL STRATEGY DR C 36.91 31 Dec 12 (SAM SYSTEMATIC FUND CLASS A -17.46 31 Dec 12
COS DIRECTIONAL OPP. FEEDER FUND. Ltd - A NI USD 35.86 31 Dec 12 ORTUS FUND (CAYMAN) LTD -17.33 31 Dec 12
PINE RIVER FIXED INCOME FUND LTD 34.85 31 Dec 12 AJIA-LIGHTHORSE CHINA GROWTH FUND LTD -14.51 31 Dec 12
SENVEST PARTNERS. LTD - CLASS A 34.81 31 Dec 12 PAULSON ADVANTAGE LTD -A- -14.23 31 Dec 12
BLACKROCK OBSIDIAN FUND 34.27 31 Dec 12 ELM RIDGE CAPITAL PARTNERS L.P. -14.08 31 Dec 12
400 CAPITAL CREDIT OPPORTUNITIES 34.21 31 Dec 12 DISCUS FEEDER LTD CL. B USD STANDARD LEVERAGE -13.88 31 Dec 12
ASGARD FIXED INCOME FUND LTD 34.12 31 Dec 12 LYNX BERMUDA 1.5 LTD -10.82 31 Dec 12
CHENAVARI TORO CAPITAL I A 32.42 31 Dec 12 ASPECT DIVERSIFIED FUND CLASS A -10.66 31 Dec 12
SR GLOBAL FUND H JAPAN (Real Pert) 31.05 31 Dec 12 CAMPBELL GLOBAL ASSETS FUND LTD Class D -10.10 31 Dec 12
ODEY EUROPEAN. INC (EUR) 30.69 31 Dec 12 MLIS GRAHAM CAPITAL SYSTEMATIC MACRO UCITS -10.09 31 Dec 12
FUND
RBR EUROPEAN LONG SHORT LTD (Ex Rhine Alpha Stars) 29.45 31 Dec 12
COMAC GLOBAL MACRO FUND -8.95 31 Dec 12
PALOMINO FUND LTD CLASS B ORIGINAL SERIES 29.29 31 Dec 12
WINTON EVOLUTION FUND (THE) .8.31 31 Dec 12
PINE RIVER LIQUID MORTGAGE FUND LTD 28.86 31 Dec 12
OCEANIC HEDGE FUND - CLASS A -7/3 31 Dec 12
MARCATO INTERNATIONAL LTD 28.67 31 Dec 12
MERCHANT COMMODITY FUND (THE) COMPOSITE -7.60 31 Dec 12
VARDEN PACIFIC OPPORTUNITY OFFSHORE FUND I LTD 28.54 31 Dec 12
GRAHAM GLOBAL INVESTMENT FUND II - K4D.15V - 7.15 31 Dec 12
BTG PACTUAL GLOBAL EM. MKTS AND MACRO FD 28.12 31 Dec 12 COMPOSITE
ONSLOW MACRO FUND CLASS A -6.72 31 Dec 12
This ranking is for information only and should not be considered as exhaustive.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 11
Source - HSBC
EFTA00619973
Convertible Arbitrage
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Convertible
Ybd Avg. 2014 1.33%
Ytd Avg. 2014
Convertible/Asia 0.84%
COS ASIA FEEDER FUND LTD- CLASS -B-USD 30 Apt 07 0 $87M 1.304.50 31 May 1.20% 0.24% 4.46% 5.45% .4.26% 3.82% 7.72% (24.55%)
Michael Hintze. Jean-Christophe Blanc Apr 14 14 Oct 07 - Oct 08
PINE RIVER ASIA FUND 30 Jun 04 0 $148M 1.668.46 31 May (1.41%) 1.43% 5.98% 8.08% 0.67% 5.29% 10.96% (37.86%)
Nikhil Mankodi. Matthew Macpherson May 14 14 Jan 08 - Dec 08
Yid Avg. 2014
Convertible/Global 2.47%
BASSO INVESTORS LTD 30 Sep 95 0 $347M 7.343.01 23 May 0.10% 3.78% 11.45% 9.5% 2.61% 11.28% 5.91% (25.00%)
Howard Fischer Oct 13 14 Dec 07 - Oct 08
COS CONY 8 OUANT STRATS FEED FD. LTD 29 Feb 00 M $462M 3.080.88 31 May (0.32%) 0.50% 5.9% 8.65% -1.88% 8.21% 8.01% (34.47%)
CLASS-B- May 14 14 Oct 07 - Dec 08
Michael Hintze/Alex Schoenenberger
JABCAP GLOBAL CONVERTIBLE FUND - DI 30 Apt 07 W $376M 200.29 31 May 1.55% 3.69% 27.14% 5.37% •14.15% 10.29% 12.83% (28.61%)
Unrestricted May 14 14 May 08 - Nov 08
Philippe Jabre
LAZARD RATHMORE FUND- CLASS A-2 31 May 07 am $1'186M 218.66 31 May 0.18% 2.89% 10.45% 4.59% -1.65% 11.81% 8.45% (16.23%)
Sean Reynolds. Christopher Sferaizzo Mar 14 14 Aug 08 - Nov 08
SALAR CONVERTIBLE ABSOLUTE RETURN FUND 31 Aug 10 W $267M 118.80 31 May (0.02%) 1.47% 10.34% 6.42% -2.86% 4.70% 3.20% (3.92%)
Alex Warren. David Persaud Apr 14 14 Mar11-Decti
Yid Avg. 2014
Convertible/USA (0.24%)
PINE RIVER CONVERTIBLES FUND 31 Jul 09 O $159M 195.52 31 May 0.28% (0.55%) 19.34% 7.6% 4.98% 14.87% 6.83% (3.80%)
Franklin Padamis May 14 14 Apr 10 - Jun 10
SILVERBACK ARBITRAGE FUND 31 Oct 06 O $569M 274.94 31 May (0.10%) 1.36% 5.98% 3.34% 4.97% 14.26% 13.15% (25.79%)
Silverback Asset Management Apr 14 14 Jun 08 - Nav 08
WATERSTONE MARKET NEUTRAL OFFSHORE FUND. 31 Jul 03 O $946M 193.96 23 May (3.62%) (1.53%) -19.27% 11.1% 0.73% 6.31% 11.05% (20.51%)
LTD Nov 13 14 Dec 12 -May 14
Shawn Bergerson
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 12
Source - HSBC
EFTA00619974
Credit Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann Return Ann. Vol Max
Dates Size Index Drawdown
Credit
Ytd Avg. 2014 3.88%
Yid Avg. 2014
Credit/Emerging 3.67%
ABSOLUTE INSIGHT EMERGING MARKET DEBT FUND 30 Apr 08 D €804M 1.47 05 Jun (0.07%) 2.52% -0.65% 11.73% 0.08% 6.49% 7.60% (15.32%)
CLASS BIP May 14 14 May 08 - Oct 08
Calm McDonagh
BAF LATAM TRADE FINANCE FUND 29 Feb 08 M $370M 1.734.48 30 Apr 0.61% 2.47% 8.09% 8.71% 8.99% 9.34% 0.53% 0.00%
Ernesto Uenhard & team. Apr 14 14 Jan 00 - Jan 00
BLUEBAY EMERGING MARKET FIXED INCOME 30 Nov 11 M $95M 105.67 30 May 0.45% 1.93% -2.49% 6.99% -0.62% 2.23% 3.73% (3.88%)
OPPORTUNITY FUND Mar 14 14 Dec 12 Jan 14
David Dowsett. Rodrigo Da Fonseca
CONTRARIAN EMERGING MARKETS OFF FUND LTD 31 Dec 05 O $486M 334.01 31 May 2.94% 537% 14.61% 23.2% -7.16% 15.40% 14.12% (28.43%)
Xiao Song Apr 14 14 Feb 08 Oa 08
FINISTERRE SOVEREIGN DEBT FUND 31 Mar 03 O $719M 286.73 31 May 1.17% 9.36% 4.47% 4.3% 10.35% 9.88% 7.23% (21.00%)
Paul Crean and Xavier Corin-Mick May 14 14 Jun 08. Oci 08
IP ALL SEASONS ASIAN CREDIT HEDGE FUND 31 Jan 02 W $247M 22.64 21 May 0.46% 2.29% 2.2% 18.68% •1.37% 6.86% 9.28% (38.05%)
Emil NGUY Apr 14 14 Feb 08 - Mar 09
MONEDA LATIN AMERICAN CORPORATE DEBT FUND 30 Sep 07 O $146M 1.860.65 03 Jun 0.01% 2.52% 8.67% 11.48% 2.44% 9.74% 14.34% (32.05%)
Mar 14 14 Aug 08 - Dec 08
Fernando Tisne and Javier Montem
SCHRODER ISF EMERGING MARKET DEBT AiR -I 31 Jan 02 Daily $860M 34.99 04 Jun (0.93%) 2.67% 0.8% 5.36% 0.69% 8.22% 5.22% (9.31%)
ACC- Dec 13 14 Mar 08 Oa 08
Geoffrey Blanning
YId Avg. 2014
CreditiEurope 4.87%
ABSOLUTE INSIGHT CREDIT FUND BI P2 EURO 30 Sep II €626M 1.29 04 Jun 0.25% 3.82% 7.38% 12.65% 2.59% 9.93% 4.56% (1.77%)
Alex Veroude May 14 14 Oct 1i - Dec II
CAIRN CREDIT FOCUS FUND LTD 31 Jul 12 M $84M 111.51 30 Apr 0.57% 0.18% 4.63% 6.38% 6.43% 2.78% (1.07%)
Cairn Capital Limited Apr 14 14 Jan 14 - Feb 14
CAIRN SPECIAL OPPORTUNITIES CREDIT FUND 31 Dec 07 O €81M 184.07 30 Apr (0.12%) 1.24% 8.54% 19.95% -12.51% 10.11% 7.97% (13.94%)
Jun 1I - Nov 11
Cairn Capital Limited Apr 14 14
CAPEVIEW RECOVERY FUND 30 Jun 03 O $298M 341.48 30 May 0.75% 5.41% 18.23% 8.41% 1.48% 11.90% 8.95% (30.45%)
Oct 07 - Dec 08
Theo Phanos Apr 14 14
CAPITAL FOUR CREDIT OPPORTUNITIES FUND 31 Dec 09 M €39M 138.74 30 Apr 1.68% 5.04% 16.31% 17.68% 10.64% 18.32% 7.82% (6.46%)
Capital Four Management Team Mar 14 14 May II - Nov 11
CHENAVARI REGULATORY CAPITAL STRATEGY DR 31 Mar 11 O $231M 160.21 30 Apr 1.12% 439% 15.19% 36.91% -2.87% 16.51% 5.67% (4.65%)
Jul 11 - See II
Feb 14 14
Chenavari Investment Managers
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 13
Source - HSBC
EFTA00619975
Credit Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Yld Avg. 2014
Credit/Europe 4.87%
CHENAVARI TORO CAPITAL I A 31 May 09 M $409 M 873.23 30 May 2.26% 15.90% 32.93% 32.42% 24.71% 54.25% 12.09% (5.11%)
Chenavari Investment Managers Feb 14 14 Jul 11 Oct II
EIFFEL CREDIT OPPORTUNITIES FUND CLASS A 30 Nov 11 M C110M 1.426.28 30 May 0.90% 6.66% 8.11% 20.07% 3.01% 15.27% 6.57% (4.47%)
Emmanuel Weyd. Eiffel Investment Group Feb 14 14 Apr 12 - Jun 12
GLG CROSS ASSET VALUE OFFSHORE FUND LTD 30 Nov 12 M $102M 1.195.98 30 May 1.63% 6.51% 11.5% 0.71% 12.70% 3.33% (0.20%)
Chris Huggins Apr 14 14 Aug 13 - Sep 13
LNG EUROPA CREDIT FUND 31 Mar 11 M $86M 1.300.65 30 Apr 1.08% 2.28% 16.1% 19.58% -7.79% 9.13% 8.66% (10.12%)
LNG Capital LLP Apr 14 14 Apr II - May 12
OBSERVATORY CREDIT MARKETS FUND (THE) 30 Jun 04 M $1110M 318.30 30 Apr 1.14% 4.89% 7.25% 13.46% -5.02% 12.49% 6.49% (12.74%)
Shazad Ghatlar Apr 14 14 Jul 07 -Jul 08
OYSTER CREDIT OPPORTUNITIES FUND CLASS R 31 Jul 09 C245M 1.156.22 03 Jun (0.05%) (1.80%) 0.31% 9.99% -1.61% 3.04% 3.29% (6.80%)
EUR2 Mar 14 14 May11-Sepll
Caim Capital Limited
PAMPLONA CREDIT OPPORTUNITIES FUND 31 Aug 08 M C408M 195.24 23 May (0.15%) 3.36% 12.68% 19.87% -9.26% 12.39% 7.68% (17.90%)
Yves Leysen Apr 14 14 AprII-Dec 11
WYETREE EUROPEAN RECOVERY FUND (WERF) 31 Aug 13 M $41M 112.57 30 Apr 2.20% 10.15% 2.2% 19.55% 4.85% (0.30%)
Wye Tree Asset Management Mar 14 14 Nov 13 - Dec 13
Ytd Avg. 2014
Credit Global 3.59%
AG MORTGAGE VALUE PARTNERS LTD 30 Apr 09 O $1'052M 235.59 30 Apr 0.70% 3.75% 12.91% 20.59% 7.47% 18.68% 4.29% (1.66%)
Jonathan Lieberman Dec 13 14 May 13 - Jun 13
ARISTEIA INTERNATIONAL LTD 01 Aug 97 O $2'165M 953.24 31 May (1.34%) 3.43% 15.67% 11.2% 2.36% 14.33% 8.97% (30.20%)
Anthony M. Frascella. William R. Techar May 14 14 May 08 - Dec 08
ASGARD FIXED INCOME FUND LTD 30 Jun 03 M C 260M 445.44 30 May 1.28% 6.01% 16.11% 34.12% 25.31% 14.66% 6.79% (11.54%)
Morten Mathiesen Jan 14 14 Aug 08 - Dec 08
AXONIC CREDIT OPPORTUNITIES OVERSEAS 31 Dec 10 O $747M 158.36 31 May 0.50% 6.02% 12.1% 25.69% 6.01% 14.40% 4.35% (3.35%)
FUND.LTD Mar 14 14 Jul 11 - Oct 11
Clayton DeGiacinto
BLUEBAY CREDIT ALPHA LONG SHORT FUND 31 Oct 11 M C217M 133.01 30 May (0.54%) 2.40% 11.78% 26.2% 0.3% 15.45% 4.82% (1.60%)
Geraud Charpin Apr 14 14 Jan 13 - Mar 13
BLUECREST MULTI STRATEGY CREDIT FUND 31 Oct 07 O $2'324M 172.76 31 May 1.24% 7.24% 8.99% 7.23% •1.31% 8.66% 5.96% (7.59%)
BlueCrest Capital Management Apr 14 14 Apr 11 - Jan 12
BLUEMOUNTAIN CREDIT ALTERNATIVES FUND 31 Oct 03 O $8'000M 263.45 23 May 0.43% 2.68% 7.87% 14.51% 3.57% 9.60% 6.13% (11.82%)
BlueMountain Capital Management Apr 14 14 Aug 08 - Dec 08
BLUEMOUNTAIN LONG SHORT CREDIT FUND LTD 31 Jan 10 M $1100M 1.184.44 23 May 0.22% 2.10% 7.58% 7.84% 3.65% 7.17% 3.40% (3.43%)
BlueMountain Capital Management Mar 14 14 Apr11 - Sep 11
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 14
Source HSBC
EFTA00619976
Credit Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Yid Avg. 2014
Credit/Global 339%
BREVAN HOWARD CREDIT CATALYSTS FUND LTD 31 Jul 09 M $4'822M 184.37 30 Apr 1.54% 4.73% 13.91% 15.34% 1.22% 13.74% 4.23% (5.05%)
CLASS A USD Apr 14 14 MaylI-Decll
OW Investment Management .LP
BREVAN HOWARD CREDIT VALUE FUND LTD 29 Feb 12 HY $745M 153.86 30 Apr 0.74% 4.52% 23.7% 19.01% 21.99% 5.53% (2.00%)
OW Investment Management .LP Mar 14 14 May 13 - Jun 13
CANDLEWOOD STRUCTURED CREDIT FUND LTD 31 Dec 10 M $597M 179.07 31 May 1.00% 6.25% 12% 20.12% 25.27% 18.59% 3.60% (1.55%)
Greg Richter and Brian Herr Apr 14 14 May 13 - Jun 13
CANDLEWOOD STRUCTURED CREDIT HARVEST FD 31 Jul 12 O $240M 136.02 31 May 1.30% 7.73% 14.05% 10.71% 18.27% 3.96% (2.20%)
LTD - Apr 14 14 May 13-Jun13
Greg Richter and Brian Herr
CHENAVARI CORPORATE CREDIT STRATEGY M1 30 Sep 08 M $537M 150.97 30 Apr 1.02% 4.32% 13.84% 17.22% 1.29% 14.16% 5.54% (6.82%)
Chenavari Investment Managers Feb 14 14 Apr 11 -Aug II
COHERENCE CAPITAL SPECTRUM FUND OFFSHORE 31 Jul 12 O $73M 14.18 30 May 1.09% 4.42% 18.98% 14.17% 21.05% 4.46% (1.24%)
FUND Apr 14 14 May 13-Jun13
Coherence Capital Partners LLC
COS ABS FEEDER FUND - CLASS -B1- USD 30 Sep 06 O $1949M 5.321.71 31 May 0.84% 5.43% 9.7% 16.85% 0.67% 24.35% 11.47% (3.86%)
Simon Finch Apr 14 14 Apr 07 -Jun 07
COS CREDIT LONG SHORT FEEDER FUND LTD - B1 30 Apr 09 M $173M 1.017.03 31 May (1.21%) (3.39%) -6.23% -5.28% 7.74% 0.49% 3.90% (14.79%)
EUR May 14 14 Sep II -May 14
Simon Finch
ELLINGTON CREDIT OPPORTUNITIES FUND LTD 30 Apt 08 O $548M 262.20 30 Apr 0.94% 4.10% 15.28% 27.73% 1.86% 17.42% 5.93% (1.84%)
Ellington Management Group. LLC Apr 14 14 AprII -Jul l1
ELLINGTON MORTGAGE OPPORTUNITIES MASTER 31 Jan 09 O $378M 254.67 30 Apr 0.29% 4.92% 9.64% 13.29% 16.19% 19.50% 3.90% (0.58%)
FUND LTD Apr 14 14 Mar 13 - Apr 13
Ellington Management Group. LLC
FOC PARTNERS CAPITAL I FUND 31 Jul 02 O $40M 254.83 30 Apr (0.30%) 0.00% 10.77% 7.14% -9.97% 8.28% 7.77% (29.78%)
Andrea S. Feingold & R. lan O'Keelfe Apr 13 14 Jun 07 - Dec 08
GREEN T G2 FUND 28 Feb 99 O $461M 196.93 30 May (0.09%) 0.18% 2.66% 2.76% 0.8% 6.45% 3.55% (4.26%)
Darryl Green. Geoffrey Sherry Apr 14 14 Dec 03 -Jul04
Ill SELECT CREDIT FUND LTD CLASS -A- 31 Dec 07 O $320M 1.922.33 30 May 0.42% 2.73% 8.56% 11.95% 7.41% 10.89% 6.61% (8.44%)
Lester Coyle Apr 14 14 Aug 08 - Nov 08
KINGDON CREDIT LTD Alfl 30 Sep 09 O $292M 1.649.99 30 May 0.95% 4.16% 15.67% 8.3% 1.64% 11.50% 5.31% (6.34%)
Michael Pohly Apr 14 14 May1I-Sepll
LOOMIS SAYLES CREDIT LONG SHORT FUND 31 Aug 07 O $617M 178.02 23 May (0.01%) 1.26% 4.76% 12.48% -0.76% 8.94% 6.57% (9.90%)
Kevin Kearns and Tom Stolberg Dec 13 14 Jun 08 - Sep 08
LUCIDUS CAPITAL G4 FUND 28 Feb 11 O $573M 112.08 30 May (0.11%) 0.37% 5.01% 5.23% 1.04% 3.57% 3.35% (1.97%)
Darryl Green. Geoffrey Sherry Apr 14 14 Feb II - Jun 11
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 15
Source - HSBC
EFTA00619977
Credit Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max ,
Dates Size Index Drawdown i
Ytd Avg. 2014
Credit/Global 3.59%
MACQUARIE CREDIT NEXUS FUND LTD 30 Sep 08 O $633M 1.26535 30 Apr 0.12% 4.65% 8.44% 15.98% 1.85% 15.01% 5.11% (3.28%)
Macquarie Crack Investment Management Inc. Apr 14 14 May II - Oct 11
MKP CREDIT OFFSHORE FUND 28 Feb 99 O $1A04M 546.56 31 May 1.29% 5.01% 11.22% 19.59% -5.11% 11.77% 5.46% (8.94%)
MKP Capital Management. L.L.C. Apr 14 14 Feb it -Oa 11
MLIS - BEACH POINT DIVERSIFIED CREDIT UCITS 31 Mar 13 W $117M 111.87 02 Jun 0.23% 2.39% 9.26t 10.04% 3.47% (1.01%)
FUND CLASS B USD Apr 14 14 May 3 - Jun I3
Carl Goldsmith and Scott Klein
PALOMINO FUND LTD CLASS B ORIGINAL SERIES 31 Dec 94 Y $rsssm 9.357.14 30 Apr (0.74%) 031% 42.36% 29.29% -3.53% 26.45% 20.03% (49.05%)
David Tepper Dec 13 14 Feb 98 - Sep 98
PIMCO GLOBAL CREDIT OPPORTUNITY FUND 30 Jun 06 O $1704M 175.42 30 Apr 0.47% 2.90% 7.45% 15.18% 6.24% 7.43% 5.12% (12.86%)
SERIES 1 Apr 14 14 Jun07 - i4w 08
Dan Ivascyn /Jon Home
PINE RIVER CREDIT RELATIVE VALUE FUND 31 Dec 06 O $133M 220.50 31 May 1.37% 439% 12.84% 14.26% 5.8% 11.25% 8.07% (12.14%)
Mike O'Connell May 14 14 Dec 07 - Dec 08
PINE RIVER FIXED INCOME FUND LTD 31 Aug 08 O $3'476M 495.53 31 May (0.05%) 3.62% 10.18% 34.85% 4.77% 32.09% 9.64% (8.83%)
Steve Kuhn. Cohn Teichholtz May 14 14 Jul 11 -Oct It
PROSIRIS GLOBAL OPPORTUNITIES FUND 30 Jun 11 O $1D89M 167.91 30 Apr 0.79% 4.13% 16.35% 22.49% 13.15% 20.05% 4.21% 0.00%
Reza Ali Mar 14 14 Jan 00 - Jan 00
RESIDENTIAL REAL ESTATE TOTAL RETURN OPP. 30 Nov 08 O $205M 203.12 30 Apr 1.00% 6.24% 17.56% 24.07% •10.5% 13.98% 6.55% (14.92%)
FUND (RRETRO FUND) Mar 14 14 Feb 11 • Dec 11
Wye Tree Asset Management
SABA CAPITAL OFFSHORE FUND LTD 31 Jul 09 O $2218M 118.49 30 Apr 0.83% 1.04% -6.76% 3.87% 9.33% 3.63% 5.71% (12.48%)
Boaz Weinstein Mar 14 14 Jun 12 - Dec 13
SPF CREDIT SUISSE SECURITIZED PRODUCTS 31 Dec 11 O $1A79M 144.49 30 Apr 1.19% 5.10% 18.04% 16.46% 17.10% 3.26% (A57%)
MASTER FUND LTD Apr 14 14 May 13 -Jun 13
Albert Sohn
TIG SECURITIZED ASSET FUND LTD 30 Sep 12 M $431M 133.79 30 Apr 1.20% 5A1% 20.05% 5.33% 20.21% 2.95% (0.11%)
Stuart Lippman. David Liu Apr 14 14 May 13 -Jun 13
TRICADIA CREDIT STRATEGIES. LTD 31 Mar 05 O $2'135M 351.99 15 May (0.38%) 1.96% 10.57% 12.73% 3.81% 14.78% 7.37% (10.77%)
Aril lnayatullah 8 Michael Barnes Mar 14 14 Jun 08 - Nov 08
VARDEN PACIFIC OPPORTUNITY OFFSHORE FUND I 31 Mar 11 O $49M 129.47 30 Apr 1.30% 2.98% 15.14% 28.54% -15.05% 8.73% 13.14% (18.02%)
LTD Apr 14 14 Mar 11 -See 11
Varden Pacific LLC
Ytd Avg. 2014
Credit/USA 3.83%
400 CAPITAL CREDIT OPPORTUNITIES 31 Jan 09 O $681M 264.35 30 Apr 1.26% 437% 15.24% 34.21% 3.07% 20.36% 6.10% (2.91%)
Chris Hanemann Feb 14 14 mayli-Octil
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 16
Source HSBC
EFTA00619978
Credit Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max ,
Dates Size Index Drawdown
Ytd Avg. 2014
CreditiUSA 3.83%
ACUITY CORPORATE OPPORTUNITY FUND LTD 31 Dec 09 M $180M 154.10 31 May 1.11% 1.44% 8.61% 11.14% 1.2% 10.29% 4.07% (3.23%)
John Harrison Apr 14 14 Jul 11 - Nov 11
BEACH POINT TOTAL RETURN OFFSHORE FUND II. 30 Jun 96 O $2200M 645.70 23 May 0.52% 2.92% 12.36% 13.86% -0.98% 10.98% 8.08% (24.04%)
LTD Apr 14 14 Oct 07 - Dec 08
Carl Goldsmith. Scott Klein.
BRIGADE LEVERAGED CAPITAL STRUCTURES FUND 31 Dec 06 O $4'917M 164.10 30 May 1.40% 3.41% 5.96% 6.7% 2.44% 6.91% 6.42% (19.42%)
LTD Apr 14 14 Jun08 . Dec 08
Don Morgan
MARINUS OPPORTUNITIES FUND (PROFORMA) 31 Dec 09 O $336M 160.30 27 May 0.60% 2.75% 6.12% 14.54% 6% 11.30% 2.69% (0.99%)
Najib Canaan Apr 14 14 May 13 - Jun 13
MIDOCEAN ABSOLUTE RETURN CREDIT FUND 31 Jan 10 M $303M 147.37 31 May 0.77% 4.21% 7.66% 10.87% 9.99% 9.37% 3.49% (3.26%)
Mio'Ocean Credit Fund Management LP Feb 14 14 Jul 11 - Sep II
MIDOCEAN CREDIT OPPORTUNITY FUND CLASS B 31 Mar 09 O $704M 224.62 30 Apr 0.39% 3.75% 10.07% 10.78% 7.46% 17.25% 6.50% (2.69%)
MidOcean Credit Fund Management LP Feb 14 14 Jul 11 - Aug 11
OCP DEBT OPPORTUNITY INTERNATIONAL LTD 30 Jun 01 O $344M 290.00 30 Apr 0.90% 4.76% 9.93% 9.21% -1.39% 8.64% 6.37% (24.14%)
Onex Credit Partners Dec 13 14 Jun07. Dec 08
OCTAGON HIGH INCOME FUND 31 Jan 11 M $161M 132.91 31 May 0.65% 2.93% 9.04% 19.9% -1.24% 8.91% 7.63% (10.79%)
Andrew 0. Gordon. Nov 13 14 Jul 11 - Aug 11
ONE WILLIAM STREET CAPITAL FUND 31 Mar 08 Y/O $1'181M 1.837.38 30 Apr 0.85% 3.87% 5.75% 18.98% -4.19% 10.51% 5.87% (8.43%)
OWS Capital Management May 14 14 Feb 11 - Nov 11
RAVEN ROCK CREDIT OFFSHORE FUND LTD 31 Aug 09 M $129M 167.97 30 Apr 0.72% 4.16% 5.8% 8.46% 6.53% 11.76% 4.96% (3.76%)
Nate Brown. Guy Caplan. Bobby Richardson Apr 14 14 Jul 11 - Sep II
TILDEN PARK OFFSHORE INVESTMENT FUND LTD 31 Dec 10 O $1'933M 200.92 30 Apr 0.84% 731% 20.12% 41.34% 10.07% 23.30% 5.31% (0.90%)
Josh Birnbaum Apr 14 14 Sep 11 - Oct 'it
WYETREE YIELD DISTRIBUTION FUND (WYDF) 30 Nov 12 M $61M 108.90 30 Apr 0.93% 3.46% 5.46% -0.2% 6.21% 4.18% (3.72%)
WyeTree Asset Management Mar 14 14 May 13 . Jun 13
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 17
Source - HSBC
EFTA00619979
Distressed
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Distressed Security
Ytd Avg. 2014 4.69%
Ytd Avg. 2014
Distressed Security/Europe 3.91%
KING STREET EUROPE LTD CLASS A 30 Jun 07 0 $11OOM 177.87 23 May 0.29% 3.91% 12.53% 10.98% .4.82% 8.70% 6.37% (8.56%)
0. Francis Biondi. Jr.. Brian J. Higgins Mar 14 14 May II - Nov I I
Yid Avg. 2014
Distressed Security/Global 4.86%
CANDLEWOOD SPECIAL SITUATIONS FUND LTD 30 Apt 03 0 $1'065M 842.78 30 May 1.10% 7.19% 12.53% 14.78% 3.88% 21.19% 11.11% (28.11%)
Michael Lai and David Koenig Apr 14 14 May 08 - Nov 08
CANYON VALUE REALIZATION FD. LTD - CLASS A 31 Dec 94 0 $6'427M 7.734.24 30 Apr 0.50% 3.13% 15.65% 18.05% -4.66% 11.16% 8.35% (28.82%)
M.R. Julis & J.S. Friedman Apr 14 14 Oct 07 - Nov 08
CERBERUS INTL. LTD CLASS A AC 191 31 May 93 0 $958M 876.306.98 30 Apr (1.26%) (0.34%) 14.1% 12.05% 9.6% 10.93% 5.77% (22.26%)
Steve Feinberg Mar 14 14 May 08 - Feb09
CONTRARIAN CAPITAL FUND I OFFSHORE LTD 30 Sep 86 Y $2912M 2.718.11 31 May 0.51% 4B7% 17.01% 24.31% -1.32% 12.67% 9.59% (3122%)
Jon Bauer Apr 14 14 Jun 07 - Feb 00
DAVIDSON KEMPNER DIST. OPP. INT. LTD - CLASS C 31 Mar 05 Y $941M 2.743.44 30 Apr 0.22% 6.32% 21.95% 13.51% -2.45% 11.75% 9.99% (26.27%)
TRN 1 - Dec 13 14 Oct 07 - Nov 08
Anthony A. Yosefott. Avi Z. Friedman and Caner Bastable
KING STREET CAPITAL. LTD 31 Dec 96 0 $12200M 625.65 23 May 0.51% 4.15% 11.63% 12.54% -1.62% 11.11% 4.02% (5.21%)
0. Francis Biondi Jr & Brian J. Higgins Mar 14 14 May II - Nov I I
LC CAPITAL OFFSHORE FUND. LTD 30 Sep 99 VW $110M 351.09 30 Apr (4.27%) 2.06% -7.55% 9.61% 0.25% 8.99% 8.86% (34.48%)
Steven G Lampe & Richard F Conway dec 13 14 Jun 07 - Feb 00
MONARCH DEBT RECOVERY FUND LTD 31 Mar 02 Y $1'295M 3.966.98 30 Apr (0.08%) 3.24% 18.06% 12.08% -0.45% 12.07% 7.94% (3102%)
Michael Weinstock. Andrew Herenstein Jan 14 14 Oct 07 - Dec 08
MUDRICK DISTRESSED OPPORTUNITY FUND LTD 30 Jun 09 0 $450M 184.16 31 May 2.40% 13.58% 7.73% 21.85% 3.72% 13.21% 6.10% (8.55%)
Jason Mudrick Mar 14 14 Mar 11 . Sep it
OWS CREDIT OPPORTUNITY FUND 31 Dec 10 WO $395M 1.427.22 30 Apr 0.85% 5.41% 12.47% 23.41% -2.46% 11.27% 4.91% (7.86%)
OWS Capital Management Mar 14 14 Apr11-Oc111
PAULSON CREDIT OPPORTUNITIES LTD 30 Jun 06 Y $3'394M 1.780.00 30 Apr 0.19% 5.44% 21.8% 8.87% 18.24% 44.39% 40.89% (24.80%)
John Paulson Feb 14 14 April -Soon
SILVER POINT CAPITAL OFFSHORE LTD 31 Dec 01 0 $5111M 4.578.37 15 May 0.58% 4.09% 16.11% 20.04% 4.52% 13.08% 8.30% (35.48%)
Edward Mug Jun 13 14 Jun07 - Dec 08
STONE LION FUND LTD CLASS A 31 Oct 08 0 $720M 2.355.25 31 May 0.01% 3.19% 16.52% 11.31% 0.05% 16.58% 8.26% (8.74%)
Greg Hanley and Alan Mintz Apr 14 14 Apell-Sepll
STRATEGIC VALUE RESTRUCTURING FUND 31 Aug 02 ON $1'445M 357.09 23 May 0.26% 6.23% 16.17% 13.18% -11.03% 11.46% 7.54% (24.47%)
Victor Khosla Apr 14 14 May 07 - Jan 09
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 18
Source - HSBC
EFTA00619980
Distressed
Inception Uquklity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Distressed Security/Global 4.86%
VR GLOBAL OFFSHORE FUND LTD 30 Apr 99 0 $1'765M 37,528.14 30 Apr 1.59% 4.30% 32.33% 20.69% 3.58% 27.32% 15.02% (48.38%)
RichardDe& Apr 14 14 May 08 - Mar 09
Ytd Avg. 2014
Distressed Security/USA 3.78%
HALCYON OFF. ASSET-BACKED VALUE FUND LTD 30 Nov 05 0 $2088M 2,834.97 15 May 0.40% 3.80% 6.66% 16.14% 4.12% 13.11% 5.44% (13.32%)
Joseph Wolnick ,Joseph Godley and Jim Coppola Apr 14 14 Aug 08 Mar 09
REDWOOD OFFSHORE FUND 31 Jul 00 Y $3153M 736.63 30 Apr 0.87% 3.76% 17.62% 21.94% -1.98% 15.62% 10.74% (36.28%)
Jonathan Kolatch Apr 14 14 May 07 - Dec 08
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 19
Source - HSBC
EFTA00619981
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Equity-Commodity
Ytd Avg. 2014 1.84%
Ytd Avg. 2014
Equity-Commodity/Global 1.84%
OCEANIC HEDGE FUND CLASS A 31 Jul 02 M $843M 3.595.83 31 May (0.44%) 0.58% 23.3% -7.73% 5.24% 11.41% 8.20% (12.78%)
Cato Brahde. Andreas Vergottis. Bjom Rise Sep 13 14 Nov 11 - Jul 12
VAN ECK HARD ASSETS 2X FUND LTD 31 Dec 04 M $19M 194.58 30 Apr 2.57% 3.10% -1.05% 11.04% -13.4% 7.39% 10.59% (22.23%)
Shawn Reynoids and Charles Cameron Apr 13 14 Jun 08 - Na,/ 08
Equity-Diversified
Ytd Avg. 2014 (0.99%)
Ytd Avg. 2014
EqUity-DiVeltified/ASia (4.43%)
AJIA-LIGHTHORSE CHINA GROWTH FUND LTD 31 Dec 05 M $137M 341.48 31 May 0.59% (7.75%) 15.85% -14.51% -12.64% 15.70% 20.47% (41.06%)
Shawn Kaag Feb 14 14 Feb 08 Dec08
CC ASIA ABSOLUTE RETURN FUND 30 Jun 05 M $431M 203.91 30 Apr (4.53%) (15.94%) 9.37% -2.03% 9.08% 8.40% 14.78% (27.12%)
Richard Card;fl. Angus Coupland Jan 14 14 Dec 07 - Dec08
CHILTON CHINA OPPORTUNITIES FUND LTD 31 Dec 06 O $26M 190.14 30 Apr (2.26%) (9.10%) 18.33% 6.63% -23.21% 9.16% 16.88% (26.16%)
Kenneth Chiang Mar 13 14 Oct 10 - Aug 12
GOLDEN CHINA FUND NR CLASS 30 Jun 04 M $899M 136.64 30 May 2.12% 0.97% 17.48% 26.91% -3.9% 26.86% 24/8% (64.64%)
George Jiang. Apr 14 14 Oct 07 - Nov 08
HT ASIAN CATALYST FUND LLC 31 Dec 98 M $107M 19.30 30 Apr (0.77%) (3.64%) 5.42% 9.51% -10.29% 10.01% 11.37% (23.93%)
Ms. Ophelia Tong Apr 14 14 Mar 00 - Mar 01
KIMA PAN ASIA OFFSHORE FUND CLASS -A- 30 Jun 09 M $25M 1.222.48 30 Apr (4.37%) (4.72%) 9.63% -1.58% -5.39% 4.24% 8.13% (17.30%)
Justin Klintberg. David Nesbitt Apr 14 14 May 11 - Aug 12
NEZU CYCLICALS FUND LTD 31 Jul 05 O $199M 244.78 31 May 3.83% 5.27% 27.39% -6.58% -5.09% 10.66% 12.70% (25.06%)
Fuyuki Fujiwara May 14 14 Oct 07 Feb 09
OCTAGON PAN ASIA FUND 30 Sep 04 M $135M 209.50 30 Apr (0.09%) (4.04%) 4.6% 11.8% -6.07% 8.02% 8.75% (10.69%)
Poh Min Lam & Nelson Chia Apr 14 14 Oct 07 Jan 09
PINPOINT CHINA FUND CLASS A USD 31 May 05 M $533M 718.77 16 May (0.17%) (3.13%) 9.26% 8.06% 0.6% 24.61% 20.40% (42.16%)
Oiang Wang Feb 14 14 Oct 07 - Nov 08
REAL RETURN ASIAN FUND LTD (THE) 30 Sep 04 M $451M 277.08 31 May 1.49% (2.16%) 13.35% 9.02% -9.19% 11.11% 9.85% (15.09%)
Ena Sun Apr 14 14 Apr 11 - May 12
TELLIGENT GREATER CHINA FUND 31 Jul 04 M $300M 358.53 30 Apr (4.76%) (6.39%) 28.57% 10.76% •17.35% 13.99% 18.57% (46.90%)
Ching-Shan Lin Apr 14 14 Oct 07 - Ocl 08
WF ASIA FUND LTD Sll 31 Jan 01 M $429M 410.92 30 May 1.12% 2.37% 11.72% 27.68% -7.21% 11.18% 13.05% (37.65%)
Scobie Wam' Mar 14 14 Oct 07 - Nov 08
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative lnvestment Group 1 20
Source - HSBC
EFTA00619982
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Yid Avg. 2014
Equrty-Diversified/Asia (4.43%)
ZEAL CHINA FUND LIMITED 31 Dec 09 M $656M 134.36 30 May (0.62%) (9.39%) 5.55% 12.9% 6.18% 6.92% 14.30% (13.00%)
Daniel POON Chun Pong Jan 14 14 Dec09 - Feb 10
Yid Avg. 2014
Equity-Diversified/Brazil (0.79%)
BNY MELLON ARX BRAZIL FUND SPC LONG SHORT 31 Jan 07 M $51M 1.731.40 30 May (0.46%) (0.79%) 5.22% 11.03% 3.58% 7.78% 8.75% (23.95%)
Bruno Garcia. Frederica Saraiva & Rogerio Poppe Apr 14 14 Jun 08. Oct 08
Yid Avg. 2014
Equity-Diversified/Emerging (2.57%)
ADELPHI EMERGING EUROPE. FUND USD SHARES 31 Mar 07 O $170M 148.48 30 May 3.80% (6.45%) 20.69% -2.13% -15.92% 5.67% 13.47% (28.62%)
Lars Dollmann Feb 13 14 May 08 - Jan 09
ARMAJARO EMERGING MARKETS FUND CLASS -A- 31 Jul 09 M $29M 128.33 30 May (1.16%) (4.85%) 8.23% 17.35% -22.31% 5.29% 14.13% (28.30%)
Michel Damian' Mar 14 14 Apr11-Dec11
FIREBIRD NEW RUSSIA FUND. LTD CLASS A 30 Jun 96 O $141M 2.189.10 31 May 3.82% (11.18%) 4.08% 11.42% -14.62% 18.78% 39.18% (81.79%)
Harvey Sawikin & Ian Hague Apr 14 14 Mar 98 . Sep 98
FIREBIRD REPUBLICS FUND. LTD 30 Apt 97 O $180M 1.095.42 31 May 1.23% (4S8%) 24.05% 13.26% -19.42% 15.03% 30.12% (73.20%)
Harvey Sawikin & Ian Hague Mar 14 14 Sep 97 - Jan 99
GROWTH MANAGEMENT LTD 31 May 98 M $159M 352.69 30 Apr 0.08% (4.76%) 7.2% -6.37% -6.15% 8.24% 7.19% (3123%)
Stephan Pinter Sep 13 14 Jun 08 - Jul 12
JABCAP EMEA FUND CLASS X1 30 Sep 08 M $185M 236.67 15 May 1.12% 5.39% 9.23% 6.94% -3.2% 16.54% 10.07% (10.02%)
Carl Tohme Apr 14 14 Apr II - May 12
KALTCHUGA FUND - RUSSIA EO. SUB-FUND -5- 15 Nov 00 BM $59M 7.759.95 31 May 11.75% (9.63%) 7.78% 12.91% -20.88% 16.33% 33.83% (81.80%)
J-L. Tauvy Jun 13 14 Dec 07 - Jan 09
MONTLAKE SKYLINE UCITS FUND INSTITUTIONAL 31 Jul 11 D 5152M 143.52 31 May 3.78% 0.73% 10.01% 25% 3.62% 13.59% 11.51% (9.65%)
SHARE CLASS Jan 14 14 Oct 13 - Jan 14
Geoff Bamber. David Tovar.
OCCO EASTERN EUROPEAN FUND A SHARES 31 Dec 01 Yr O $680M 391.19 30 May 0.50% (1.19%) 11.63% 7.73% 5.42% 12.67% 7.61% (20.86%)
Pawel Szulc & Andrew Mies May 14 14 Jun 08. Oct 08
POLLUX BRAZILIAN EQUITIES FUND 31 Oct 07 M $35M 145.19 30 May (0.53%) (2.79%) -3.41% 13.12% 0.39% 5.83% 7.89% (9.59%)
Rodrigo Fonseca Apr 14 14 May 08 - Oct 08
SAGIL LATIN AMERICAN OPPORTUNITIES FUND 30 Jun 09 M $61M 146.05 09 May 3.03% 7.80% 7.75% 14.46% -9.01% 8.11% 8.22% (12.35%)
CLASS A May 14 14 Oct 10 -Sep 11
Adrian Landgrebe and Brad Jones
SR GLOBAL FUND INC - G GLOBAL OPPORTUNITIES 29 Feb 96 M $460M 1.325.13 31 May 2.90% (1.14%) 18.09% -0.88% -17.2% 18.67% 17.87% (37.25%)
PTF (Real Perf) Jan 14 14 Oct 07 Feb 09
Richard Chenevix-Trench
SR PHOENICIA INC CLASS -A- SERIES 1 31 Jul 01 M $140M 482.58 31 May 4.78% (0.47%) 20.89% 8.13% -20.97% 13.04% 18.11% (56.02%)
Richard Atherton Jan 14 14 Oct 07 Feb 09
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 21
Source - HSBC
EFTA00619983
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Equity-DiversifiedlEurope (0.32%)
ADELPHI EUR. FUND $ (A) 30 Sep 97 O $1'139M 480.30 30 May 2.15% 1.57% 17.28% 14.08% -4.91% 9.87% 11.66% (26.28%)
Roderick Jack. Marcel Jongen Feb 13 14 May 07 - Feb 09
ADRIGO HEDGE 30 Nov 06 M $213M 165.36 31 May (0.71%) 3.42% 12.83% 5.91% .0.17% 6.93% 5.30% (9.13%)
Göran Tome° May 14 14 May 07 - Oct 08
ANTARES EUROPEAN FUND. LTD - USD 08 Dec 98 M $906M 565.37 31 May (1.30%) 3.00% 28.79% 1.7% •10.75% 11.83% 15.14% (32.68%)
Peter Miles Testa. Luca Orsini Bawl Apr 14 14 Jun 07 - Dec 08
AQUILUS INFLECTION FUND LTD EUR SHS 31 Jul 07 M €296M 130.49 31 May 1.48% 2.68% 14.59% 18.73% -14.14% 3.97% 8.91% (22.46%)
Richard Vogel Mar 14 14 Oct 07 - Oct 08
CAPEVIEW AZRI 2X FUND 30 Sep 10 M $215M 151.56 30 May (2.58%) (2.92%) 24.8% 12.65% 4.31% 12.01% 6.52% (7.15%)
Michael Sakkas and Sushi? Shah Jan 14 14 Feb 14 - May 14
CAPEVIEW AZRI FUND 31 Oct 07 M $300M 168.09 30 May (1.29%) (1.50%) 11.51% 5.82% 1.29% 8.21% 3.69% (3.66%)
Michael Sakkas and Sushi? Shah Jan 13 14 Feb 14 - May 14
GLG EUROPEAN LONG SHORT FUND CL-D- Inst 30 Sep 00 M $982M 315.29 30 May (0.55%) (5.31%) 7.09% 5.75% 7% 8.76% 8.16% (17.94%)
Pierre Lagrange. Simon Savage. Darren Hodges Apr 14 14 Oct 07 - Oct 08
JPMORGAN PORT. STRAT. FUNDS-EUROPE 30 Sep 03 M $178M 413.52 30 May (1.79%) (231%) 15.93% -4.72% 10.2% 14.23% 8.61% (16.39%)
DYNAMIC US FUND-A10-03 May 14 14 Jun 08 - Nov 09
Jonathan Ingram. John Baker. Anis Lahlou-Abid
LANSDOWNE EUROPEAN EQUITY FD. LTD - A (EUR) 31 Aug 98 M $397M 210.37 31 May (0.52%) (2.09%) 21.51% 4.56% -12.68% 9.39% 11.69% (21.60%)
Alex Snow & S. Heinz Jan 14 14 May 08 - Feb 09
LC EQUITY FUND LTD 30 Sep 05 M CHF121M 285.11 31 May 1.23% 4.33% 5.27% 2.04% 0.83% 12.84% 6.00% (329%)
Limmat Capital Alternative Investments AG May 14 14 Jun II - Aug 11
LUCERNE CAPITAL OFFSHORE FUND LTD 30 Apt 03 M $83M 445.72 30 Apr (1.28%) 4.06% 28.69% 26.52% -19.79% 14.54% 21.87% (58.36%)
Pieter Tasefaar. Thijs Hovers Apr 14 14 May 07 - Feb 09
MADRAGUE EQUITY LONG SHORT 31 Jan 12 $200M 137.11 30 Apr 0.03% 1.44% 31.03% 3.16% 15.08% 8.65% (8.92%)
Madrague Capital Partners Mar 14 14 Jan 12 - Jun 12
MARSHALL WAGE - MW CORE A USD 31 Oct 06 M $206M 145.02 04 Jun 0.19% 2.21% 7.44% 8.72% 5.65% 5.01% 8.71% (26.47%)
Ernesto Fragomeni Jan 14 14 Jun 07 - Sep 08
MARSHALL WAGE - MW EUROPEAN TOPS A EUR 31 Dec 04 M $231M 203.21 04 Jun 0.40% (0.25%) 16.17% 11.31% 4.29% 7.81% 7.69% (21.75%)
Anthony Clake Jan 14 14 Oct 07. Feb 09
MARTIN CURRIE EUROPEAN HEDGE FUND CLASS 31 Dec 00 M $223M 308.02 30 May 1.22% 0.91% 21.33% 13.51% .8.53% 7.52% 7.53% (11.03%)
-B- Apr 14 14 Jun 08 - Feb 09
Michael Browne & Steve Frost
MBAM ACTIVE ENHANCED 30 Jun 13 M $80M 100.29 31 May (2.22%) (3.26%) 3.67% 0.31% 7.47% (6.96%)
Hilton Nathanson Mar 14 14 Feb 14 - May 14
MLIS - THEOREMA EUROPEAN EQUITY LONG SHORT 31 May 10 D €92M 111.68 02 Jun 0.20% (3.95%) 7.94% 4.37% -0.27% 2.79% 7.57% (12.02%)
UCITS FUND - EURS (acc) Feb 14 14 Sep I I . Jul 12
Theorems Asset Management Limited
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 22
Source - HSBC
EFTA00619984
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Equity-Diversified/Europe (0.32%)
MOJNA ALPHA LEVERAGED MASTER FUND - EUR 30 Nov 07 M $254M 163.68 30 May 0.60% (3.87%) 14.82% -4.33% 5.58% 7.87% 6.17% (6.96%)
Jakob Nordestedf. Michael O'Mara Nov 13 14 Feb 12 -Jul 12
MOJNA ALPHA MASTER FUND - EUR 31 Dec 02 M $281M 171.68 30 May 0.25% (1.98%) 4.93% -2.69% 1.39% 4.85% 2.65% (3.27%)
Jakob Nordestedf. & Michael O'Mara Mar 13 14 Feb 12 -Jul 12
NORDIC ALPHA CLASS B - NOK 31 Aug 03 M NOK794M 238.02 30 Apr 2.64% 7.37% 23.77% 12.14% -14.91% 8.47% 11.17% (32.36%)
Thomas Raaschou. Christian T. Nygaard Apr 14 14 Dec 07 - Feb 09
ODEY EUROPEAN. INC (EUR) 31 May 92 W C 1'536M 783.63 14 May (1.98%) (13.92%) 25.76% 30.69% -20.56% 13.23% 16.14% (50.64%)
Crispin Odey May 14 14 Jan 94 - Jul 95
PELHAM LONG/SHORT FUND LTD CLASS A EUR 31 Oct 07 M €2601M 188.03 30 Apr (2.21%) 031% 32.52% 16.89% -10.68% 10.20% 10.89% (12.25%)
Ross Turner Feb 14 14 May 08 - Dec 08
PENSATO EUROPA FUND LTD EURO CLASS 31 May 08 M €l 20M 123.80 30 Apr (4.16%) (6.80%) 1.99% 11.22% -0.28% 3.67% 6.06% (8.88%)
Graham Clapp & Edward Rumble Apr 14 14 May 13 - Apr 14
POLAR CAPITAL EUROP CONVICTION FUND LIMITED 31 Mar 06 M €115 M 159.48 30 May 0.40% (0.33%) 1.9% 8.07% 6.45% 5.88% 8.33% (5.84%)
Robed Gurney Mar 14 14 May 11 -Augll
RBR EUROPEAN LONG SHORT LTD (Ex Rhine Alpha 30 Apt 05 M $90M 2.983.80 31 May 3.07% 10.75% 20.33% 29.45% •11.71% 12.78% 18.69% (55.01%)
Stars) May 13 14 Jun 07 -14av 08
Rudolf Bohli
RWC SAMSARA FUND CLASS A EURO 17 Sep 07 M $135M 147.31 31 May 1.41% 4.69% 17.47% 2.97% .0.85% 5.95% 7.83% (11.60%)
Ajay Gambhir Mar 14 14 Jun 11 - May 12
SIERRA EUROPE OFFSHORE. LTD - CLASS C USD 28 Feb 97 M $106M 522.00 31 May 0.04% 0.38% 4.48% 11.82% 4.88% 10.05% 8.88% (16.98%)
Charles Michaels Mar 14 14 Mar 00 - Jan 03
SUSA EUROPEAN EQUITIES FUND CLASS A NIE EUR 28 Feb 09 M $213M 179.17 30 May 1.00% 2.14% 17.78% 15.22% -10.33% 11.74% 11.35% (16.04%)
Reza Amin* Apr 14 14 May 11 -Sepll
THEOREMA EUROPE FUND PLUS LTD BPI USD 31 Aug 04 M $20M 253.64 16 May (2.44%) (7.48%) 11.16% 5.6% -0.29% 10.06% 12.06% (15.14%)
G. Goo' Dec 13 14 Sep 11 - Jul 12
THREE BRIDGES EUROPE MASTER FUND 31 Aug 06 M $565M 165.44 30 Apr (2.20%) (4.90%) 26.03% 4.57% -7.58% 6.78% 8.32% (11.88%)
Gene Salamon Jan 14 14 Jun 08. Oct 08
TT MID-CAP EUROPE LONG/SHORT FUND LTD - CL B 30 Apt 05 M $757M 280.47 31 May (1.15%) 1.26% 14.43% 6.9% -1.72% 12.01% 8.67% (7.41%)
David Grimbley Mar 14 14 Apr 06 - Sep 06
ZADIG FUND CLASS Al 30 Nov 05 M €297M 228.95 30 May 2.99% 0.20% 8.9% 11.02% 3.56% 10.23% 11.21% (19.14%)
Laurent Saglio Nov 13 14 Aug 08 - Oct 08
Ytd Avg. 2014
Equity-DiversifiediGlobal 0.32%
ANAVON MASTER FUND LTD CLASS -B- 31 Dec 10 M $76M 132.04 31 May 3.20% 0.00% 11.45% 12.62% 5.19% 8.48% 7.63% (8.57%)
Avi Fruchter and Avraham Mevorah May 14 14 Jul 11 - Sep 11
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 23
Source - HSBC
EFTA00619985
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Yid Avg. 2014
Equity-Diversified/Global 0.32%
ATLAS FUNDAMENTAL TRADING FUND LTD- CLASS A 30 Jun 08 M $89M 1.370.37 30 Apr 1.96% 11.37% 8.31% -3.45% 7.03% 5.55% 8.88% (13.45%)
NNI Mar 14 14 Sep11.Jun 13
Dmitry Balyasny. Managing Panne, & CIO
BEACONLIGHT OFFSHORE FUND LTD 31 Dec 09 O $110M 136.44 30 Apr (1.99%) 1.22% 22.4% 6.8% -5.78% 7.44% 9.10% (15.02%)
Ed Bosek Apr 14 14 Mar11.Septi
BROOKFIELD GLOBAL LISTED INFRASTRUCTURE 30 Apt 08 M $76M 214.53 31 May 2.40% 4.94% 11.13% 16.99% 5.17% 13.36% 13.23% (22.19%)
SEC. OFFSHORE FUND Jan 14 14 Apr 08 - Nov 08
Brookfield Investment Management Inc.
DUET GLOBAL FUND PLUS 31 Jul 10 M $1'500M 123.75 30 Apr (1.30%) (1.09%) 3.95% 11.05% 8.05% 7.45% 3.28% (1.63%)
Jason McNab Feb 14 14 Feb 1a - Apr 14
EXANE TEMPLIERS FUND 28 Feb 06 W €170M 17.447.59 03 Jun 0.01% (1.10%) 1.85% 0.77% 0.49% 5.06% 3.09% (2.89%)
Jean-Francois Roussel. ~bane Arrouays. Henri-Daniel Mar 14 14 Apr II - May 12
Samama. Exane Asset Management
FARRINGDON ALPHA ONE 31 Dec 06 M $250M 189.37 31 May 0.14% 6.03% 10.56% 19.44% -12.63% 8.99% 11.42% (16.50%)
Bram Comelisse. Andreas Tholstrup. Dennis van Wees Sep 13 14 May 08 - Oct 08
GLADE BROOK GLOBAL OFFSHORE FUND LTD 30 Sep 11 O $374M 1.191.57 30 May 1.00% (5.64%) 19.76% 13.1% -6.77% 6.79% 9.07% (10.31%)
CLASS-A- NR- Apr 14 14 Feb 1a - Apr 14
Paul Hudson
HABROK LTD 31 Mar 04 O $134M 279.57 30 Apr (3.33%) (2.34%) 13.15% 6.85% -9.66% 10.73% 14.94% (38.55%)
Ketan Gadhia and Rahul Khanna Mar 14 14 May 08 - Jan 09
HORSEMAN GLOBAL FUND USD 31 Jan 01 M $253M 554.71 21 May (3.20%) 5.57% 19.15% 16.28% -2.98% 13.74% 16.12% (33.75%)
Russell Clark Jan 14 14 Feb 09 - Jun 10
KINSALE COMPASS FUND 31 Oct 11 M €150M 139.97 30 Apr (1.12%) 1.77% 15.74% 16.75% 1.79% 14.41% 3.94% (2.10%)
Peter A Kinney Mar 14 14 Apr 12 -May 12
LANSDOWNE DEVELOPED MARKET FUND. LTD (GBP) 31 Jul 01 M $8211M 572.44 30 May 1.93% (5.37%) 33.26% 17.87% -20.07% 14.56% 10.93% (20.07%)
Alex Snow & S. Heinz Jan 14 14 Dec 10 - Dec 11
LAZARD GLOBAL HEXAGON FUND 31 May 10 M $297M 124.92 31 May 0.49% (0.83%) 8.98% 13.45% -2.08% 5.45% 4.81% (7.43%)
Jean-Daniel Malan Mar 14 14 Mayll-Sepii
M. KINGDON OFFSHORE NV - A/1 28 Feb 86 O $1'382M 154.73 31 May 1.13% 1.50% 23.82% 11.78% -18.03% 14.97% 12.69% (30.15%)
Mark Kingdon Apr 14 14 Sep 87 - Oct 87
MARSHALL WAGE - MW EUREKA Al EUR 07 Jan 98 M $4'548M 391.92 04 Jun 0.73% (0.15%) 21.61% 7.45% 9.74% 13.21% 9.09% (23.24%)
Paul Marshall Jan 14 14 Oct 07 - Oct 08
MARSHALL WAGE - MW GLOBAL OPPORTUNITIES A 28 Feb 09 M $1'585 M 221.87 04 Jun 0.19% (0.65%) 13.37% 6.83% 27.16% 16.34% 9.68% (4.94%)
USD Jan 14 14 Nov11. Jan 12
Fehim Sever
MAVERICK FUND. LTD - CLASS NI 28 Feb 95 M $2670M 1.360.04 31 May 4.35% 1.25% 16.46% 15.46% -14.85% 12.10% 11.52% (30.04%)
Lee Ainslie Ill Mar 13 14 May 08 - Nov 08
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 24
Source - HSBC
EFTA00619986
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Yid Avg. 2014
Equity-Diversified/Global 0.32%
MS ASCEND UCITS FUND CLASS I EUR 30 Apt 11 W $126M 1.055.63 30 May 1.50% 1.40% 12.16% -0.14% -7.06% 1.77% 4.37% (7.23%)
Malcolm Fairbaim Jul 13 14 May II - Dec 12
NEVSKY FUND PLC (COMPOSITE) 30 Sep 00 M $999M 1.296.42 09 May 0.46% (2.08%) 18.07% 14.61% 0.62% 20.71% 14.15% (22.14%)
Martin Taylor and Nick Barnes Apr 13 14 Oct 07 Feb 09
PASSPORT GLOBAL STRATEGY FUND 31 Jul 00 O $1'600M 1.044.58 31 May 3.50% 3.77% 23.02% 11.08% -18.74% 18.47% 26.30% (52.74%)
John Burbank May 14 14 Jun 08 Dec 08
PASSPORT LONG SHORT STRATEGY FUND 30 Jun 10 M $1'073M 141.01 30 Apr (0.90%) (0.24%) 19.89% 12.13% -7.19% 9.37% 8.34% (10.06%)
John Burbank. Tim Garry Apr 14 14 April - Dec It
PASSPORT SPECIAL OPPORTUNITIES FUND LTD 30 Apt 08 H-Y $498M 214.81 31 May 5.00% 11.62% 45.5% -5.67% •19.91% 13.38% 27.04% (43.24%)
CLASS AA May 14 14 Jun 08 Nov 08
John Burbank
PLATINUM FUND LTD 31 May 94 M $532M 91.87 23 May 2.14% 1.55% 21.76% 17.44% -1151% 11.73% 12.23% (30.48%)
Kerr Neilson Apr 14 14 Oct 07 Feb 09
SR GLOBAL FUND C - INTERNATIONAL (Real Perf) 31 Dec 93 M $570M 505.96 31 May 2.60% (17.45%) 36.28% 1.03% -24.27% 11.46% 21.18% (50.10%)
Hugh Sloane Jan 14 14 Apr 08 - Aug 12
STANDARD PACIFIC CAPITAL -B- 30 Sep 95 O $657M 481.68 30 Apr (4.25%) (5.41%) 20.2% -4.66% -5.24% 8.82% 8.19% (15S7%)
Doug Dillard and Raj Venkatesan Apr 14 14 Jul 11 - Nov 12
STK CAPITAL GLOBAL EQUITIES 30 Nov 10 M $109M 128.81 31 May 2.63% (1.44%) 16.09% 9.35% •1.64% 7.50% 8.18% (8.80%)
Daniel Grozdea May 14 14 April - Sep 11
Ytd Avg. 2014
Equity-DiVerSifiedklapan (3.69%)
AKAMATSU FUND 31 Dec 04 M $98M 185.85 30 Apr (0.34%) (2.09%) 21.71% -3.45% -0.85% 6.87% 7.09% (12.18%)
Philip Kay Mar 14 14 Mar 12 Oct 12
ALPHAGEN HOKUTO FUND LTD - CLASS A 31 Oct 00 M $345M 202.69 09 May 0.19% (3.02%) 7.4% -1.01% 0.13% 5.36% 4.30% (4.80%)
John Stewart & Robert Tull Apr 14 14 May II - Aug 12
ALPHAGEN JAPAN ABS RETURN FD. LTD 30 Jun 00 M $358M 262.12 09 May 0.85% (2.94%) 26.63% -0.58% -8.58% 7.20% 9.94% (19.05%)
William Garnett and Jeremy Hall Apr 14 14 Feb 11 Aug 12
ARCUS JAPAN FUND -JPY- 31 Mar 99 D $10M 40.646.00 04 Jun 0.43% 0.71% 26.98% 19.15% -4.68% 9.67% 15.21% (45.94%)
Robed Macrae Apr 14 14 Feb 07 - Feb 09
MARATHON VERTEX JAPAN FD. LTD CLASS B 31 May 03 O $475M 2.380.26 23 May 0.87% (4.02%) 23.38% 4.89% 0.59% 8.21% 8.35% (11.76%)
William Arah Apr 14 14 Jun 09. Oct 10
MARTIN CURRIE ARF JAPAN FUND 30 Jun 00 M $223M 20.85 26 May (0.76%) (8.51%) 28.56% 4.23% SA% 5.42% 8.27% (15.76%)
John-Paul Tempedey Apr 14 14 Apr 10 - May 12
SFP VALUE REALIZATION FUND 31 Oct 03 O $251M 356.53 30 May 8.69% 0.83% 82.11% 44.54% 7.42% 12.76% 19.86% (55.47%)
Greg McEntyre Aug 13 14 Jan 06. Oct 10
SR GLOBAL FUND H - JAPAN (Real Perf) 30 Sep 03 M $140M 152.82 31 May 5.20% (15.79%) 62.51% 31.05% -8.33% 4.36% 20.82% (35.57%)
Hugh Sloane. Alex Kydd Jan 14 14 Mar 08 -Jul 10
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 25
Source HSBC
EFTA00619987
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Equity-Diversified/Japan (3.69%)
UMJ KOTOSHIRO FUND 31 Oct 08 M $120M 178.63 30 Apr 0.55% 1.63% 32.05% 17.83% 12.2% 11.13% 8.08% (9.48%)
Masahiro Koshiba Apr 14 14 Jul 09 -Sep 10
Yid Av. 2014
Equity-Diversified/UK (3.g12%)
ALPHAGEN OCTANIS CLASS A 28 Feb 05 M $2275M 239.35 31 May 1.09% 0.84% 16.77% 3.87% -0.47% 9.89% 6.19% (10.72%)
Ben Wallace & Luke Newman Apr 14 14 May 07 - Mar 08
BLACKROCK UK EQUITY HEDGE FUND 30 Apt 05 M $418M 195.94 31 May (0.04%) (0.78%) 6.42% 4.27% 2.48% 7.68% 5.80% (11.70%)
Nigel Ridge & lmran Salta Apr 14 14 Jun 08. Oct 08
PEGASUS FUND LIMITED SHARES A-1 31 Oct 97 M $135M 61.65 30 May (2.31%) (9.42%) 63.74% 1.06% -1.11% 11.64% 15.53% (35.27%)
David Van-ow. Angus Donaldson Jan 14 14 May 98 - Oct 98
Ytd Avg. 2014
Equity-Diversified/USA 0.74%
MR INTERNATIONAL (BVI). INC. - All 31 Jan 93 M $521M 1.298.44 30 May 1.12% 7.56% 20.33% 3.85% -6% 12.77% 19.01% (44.44%)
Alexander J. Roepers Dec 12 14 May 08 - Dec 08
ALLIANCE BERNSTEIN SELECT US EQUITY LONG 30 Nov 99 Y/0 $143M 4.490.77 03 Jun 0.16% 0.95% 16.27% 6.17% 0.81% 10.90% 7.14% (9.98%)
SHORT Apr 14 14 May 08 - Feb 09
Kurt Feuerman
ALYDAR FUND LTD 28 Feb 03 0 $361M 213.82 31 May (0.40%) (2.95%) 15.85% -1.07% -0.68% 6.98% 4.82% (6.49%)
John Murphy Dec 12 14 Jun 11 -May 12
ALYSHEBA FUND LIMITED 31 Mar 05 0 $201M 2.682.01 30 Apr (2.40%) (5S9%) 15.13% 2.83% 2.51% 11.47% 12.74% (25.80%)
John A. Murphy. Philip C. Furse Dec 13 14 May 08 - Nov 08
ASCEND PARTNERS FUND II LTD - A 31 Jan 04 0 $487M 200.11 31 May 1.16% 1.74% 11.59% 3.48% -2.86% 6.94% 4.37% (5.23%)
Malcolm Fairbaim Dec 13 14 Apr11-Dec11
BAY RESOURCES PARTNERS OFFSHORE FUND 31 Jul 98 M $2748M 10.422.97 30 Apr 1.60% 1.40% 22.23% 9.24% -6.89% 16.04% 16.11% (39.02%)
Thomas Claugus Feb 14 14 May 08 - Feb09
BCM WESTON LP (BILLINGS CAPITAL MANAGEMENT) 31 Jan 08 M $56M 223.18 30 Apr (1.41%) (3.75%) 50.32% 15.2% -8.95% 13.71% 10.68% (13.70%)
Billings Capital Management LLC Mar 14 14 Marti - Sep It
CASTLEROCK FUND LTD 31 Aug 96 0 $108M 699.43 31 Mar (1.15%) (3.65%) 12.73% -3.82% -23.84% 11.69% 16.82% (37.70%)
Paul Tanico Jan 13 14 May 01 - Feb 03
COBALT OFFSHORE LTD 31 Dec 96 0 $683M 780.27 30 Apr (0.42%) 1.72% 8.88% 4.49% -0.66% 12.58% 8.07% (19.53%)
Wayne Cooperman Dec 13 14 Apr 98 - Sep 98
ELM RIDGE CAPITAL PARTNERS L.P. 31 Dec 99 0 $613M 542.26 31 May (0.30%) 1.87% 22.28% -14.08% 0.7% 12.43% 12.99% (19.41%)
Ronald Gutlleish Jan 14 14 Apr 10 -Nov 12
EMINENCE FUND LTD A INITIAL SERIES 31 Dec 98 0 $4'135M 709.23 31 May 3.40% 6.00% 14.6% 23.83°4 1.29% 13.54% 9.58% (19.99%)
Ricky C. Sandler May 14 14 Dec 07 - Dec 08
GLENVIEW CAPITAL PARTNERS (CAYMAN). LTD. 31 Dec 00 0 $3'577M 683.65 31 May 6.43% 7.80% 42.9% 24.24% •10.95% 15.40% 16.29% (49.17%)
Lawrence M. Robbins Mar 14 14 May 07 - Dec 08
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 26
Source - HSBC
EFTA00619988
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Equity-Diversified/USA 0.74%
INVICTA OFFSHORE FUND LTD 31 Dec 09 M $87M 156.21 30 Apr (4.80%) (8.80%) 18.27% -3.28% 10.18% 10.84% 10.48% (11.11%)
James Alpha LLC Feb 14 14 Jan 14 - Aix la
IVORY CAPITAL FLAGSHIP STRATEGY 30 Nov 98 O $968M 4.376.99 31 May 2.35% 4.78% 17.07% 10.5% -3.54% 9.99% 5.98% (12.61%)
Curtis Macnguyen Apr 14 14 May 08 - Nov 08
IVORY OPTIMAL FUND LTD 31 Dec 08 O $1242M 206.92 31 May 3.77% 7.89% 28.31% 16.41% -4.37% 14.37% 8.41% (10.14%)
Curtis Macnguyen Apr 14 14 Apr1I-Sep11
KINETICS FUND. INC - A/A 31 Jan 01 M $148M 3.591.40 31 May 5.82% 3.77% 39.74% 27.42% -14.83% 10.06% 22.10% (76.20%)
Peter B. Doyle May 14 14 Oct 07 - Feb 09
MADISON STREET FUND L.P. 31 Jan 04 M $39M 2.879.01 30 Apr (2.04%) (1.63%) 26.78% 5.79% -3.04% 10.87% 7.10% (9.59%)
Steven C. Owsley & Drew M. Hayworth Dec 13 14 Apr1I-Sep11
OMEGA OVERSEAS PARTNERS. LTD CLASS A 31 Dec 91 M $2'382M 969.28 30 Apr 0.13% 1.05% 30.02% 25.66% -2.97% 10.70% 14.62% (42.55%)
Leon Cooperman Jan 14 14 May 07 - Feb 09
RENAISSANCE INSTITUTIONAL EQUITIES LP (B) 31 Jul 05 M $1'825M 192.96 30 May 0.94% 1.40% 16.78% 8.29% 34.12% 7.72% 10.32% (35.73%)
Renaissance Technologies LLC Apr 14 14 May 07 - Apr 09
RWC US ABSOLUTE ALPHA FUND - CLASS B 30 Sep 09 D $127M 126.75 03 Jun (0.00%) 0.20% 14.28% 16.32% -2.25% 5.20% 5.71% (9.19%)
Mike Cornell Oct 13 14 Apr 10 - Dec t 1
SAB OVERSEAS FUND LTD 31 Jul 00 3O / O $579M 487.21 31 May 5.30% 0.05% 23.57% 21.5% -0.71% 12.12% 11.28% (17.57%)
Scott Bommer Mar 14 14 Mar 10 - Aug 10
SEMINOLE OFFSHORE FUND 31 May 98 O $1'306M 770.60 31 May 2.30% 5.47% 23.18% 5.08% .0.7% 13.60% 12.49% (15.62%)
Michael G. Messner. Paul C. Shiverick Apr 14 14 May 02 - Mar 03
ZWEIG-DIMENNA INTL LIMITED - CLASS A 31 May 87 O $1'327M 92.720.86 30 Apr (3.03%) (9.80%) 21.25% -1.18% -2.37% 14.25% 15.10% (50.23%)
Joseph DiMenna / Martin Zweig Jan 14 14 Feb 00 - Dec 02
Equity-Energy
Ytd Avg. 2014 12.65%
Ytd Avg. 2014
Equity-Energy/USA 12.65%
DORSET ENERGY FUND. LTD • CLASS A 31 Oct 00 M $275M 62.66 31 May (0.02%) 12.65% 29.76% -6.43% -1.27% 14.46% 20.96% (49.55%)
David M. Knott. Donald Textor Mar 14 14 Jun 08 Dec 08
Equity-Financial
Ytd Avg. 2014 (4.18%)
Ytd Avg. 2014
Equity-Financial/Global (4.18%)
BAY POND INVESTORS (BERMUDA). LP -A/1- NEW 31 Dec 95 BY $6138M 218.40 31 May 0.80% (1.45%) 20.27% 20.41% -12.53% 18.22% 16.73% (63.22%)
ISSUE May 14 14 Apr 98 - Mar 99
Nicholas C. Adams. Partner
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 27
Source HSBC
EFTA00619989
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Equity-Financial/Global (4.18%)
LANSDOWNE GLOBAL FINANCIALS FUND LTD. 30 Jun 04 M $1'257M 297.91 31 May 0.76% (9.11%) 23.03% 17.78% .20.82% 11.63% 13.57% (26.25%)
-N.USD Nov 13 14 Apr 10 - May 12
Williamde Winton
MARSHALL WAGE - MW GLOBAL FINANCIALS MIN A 31 Oct 08 M $57M 129.38 04 Jun 0.58% (0.05%) 5.76% -0.75% 3.21% 4.71% 5.57% (8.01%)
USD Jan 14 14 Nov II - Aug 12
Amit Rajpal
TOSCA CLASS A - USD 30 Sep 00 M $681M 268.11 30 Apr (2.09%) (6.13%) 30.5% 24.94% 1.14% 7.53% 17.32% (67.54%)
Johnny de la Hey Sep 13 14 Dec 07 - Nov 08
Equity-Healthcare
Ytd Avg. 2014 (1.14%)
Ytd Avg. 2014
Equity-Healthcare/Global (1.14%)
CCI HEALTHCARE PARTNERS LTD 31 Dec 00 M $1'193M 315.23 31 May 0.97% (5.32%) 26.54% 6.56% 3.99% 8.93% 8.54% (17.89%)
Oliver Mani. CC! Healthcare Partners Apr 14 14 Oct 07 - Sep 08
JENOP GLOBAL HEALTHCARE FUND LTD SERIES A 31 Oct 12 W $177M 12.93 30 May 1.58% 2.10% 27.17% -0.45% 17.66% 12.98% (11.12%)
David Chan Feb 14 14 Feb t4 - Apr 14
MLIS - CCI HEALTHCARE LONG SHORT UCITS FUND - 31 Jan 10 W $340M 131.98 02 Jun 0.02% (5.47%) 26.97% 5.51% 2.72% 6.61% 9.10% (1037%)
B (acc) USD Jan 14 14 Feb t4 - Apr la
Oliver Mani. CC! Healthcare Partners
VISIUM INSTITUTIONAL PARTNERS FUND LTD 31 May 10 O $121M 132.62 31 May 2.10% 4.11% 20.91% 5.73% 1.28% 7.31% 6.48% (5.86%)
Jacob Gottlieb. Visium Asset Management Apr 14 14 Apr 11 - Sep 11
Equity-Mid-Small Cap
Ytd Avg. 2014 4.53%
Ytd Avg. 2014
Equity-Mid-Small Cap/Europe 5.60%
ENNISMORE EUROPEAN SMALLER COMPANIES 30 Nov 99 M €72M 417.07 22 May 0.16% 7.31% 23.49% 9.65% 11.36% 12.98% 10.64% (34.24%)
Geoff Oldlield Jan 14 14 Jul 07 - Apr 09
POLAR CAPITAL EUROPEAN FORAGER FUND LTD - 31 Jul 03 M €434M 320.92 30 May (0.30%) 3.89% 11.79% 11.93% 2.39% 11.36% 7.28% (21.47%)
AX Dec 13 14 Oct 07. Feb 09
Rob Gum&
Ytd Avg. 2014
Equity-Mid-Small Cap/Global 11.27%
RAB SPECIAL SITUATION FD LTD 31 Jul 03 O $22M 447.00 30 Apr 6.77% 11.27% -32.86% -27.94% •17.75% 2.17% 34.50% (89.56%)
Philip Richards May 13 14 Jul 07 - Dec 13
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 28
Source - HSBC
EFTA00619990
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Yid Avg. 2014
Equity-Mid-Small Cap/UK 5.00%
ALPHAGEN VOLANTIS FUND. LTD A (USD) 30 Apr 02 M $590M 522.12 31 May (0.43%) 5.00% 13.46% 12.7% 1.02% 14.64% 8.32% (11.36%)
Rob Giles & Adam McConkey Apr 14 14 Jun 08 Dec 08
Yid Avg. 2014
Equity-Mid-Small Cap/USA 3.36%
COOPER CREEK PARTNERS LLC 31 Oct 08 O $100M 174.30 31 May (3.20%) 3.39% 27.15% 9.93% •13.51% 10.46% 10.49% (22.12%)
Robed Schwartz Mar 14 14 Feb 11 - Sep I t
GREENLIGHT CAPITAL OFFSHORE. LTD All 30 Sep 96 O $8203M 166.227.14 31 May 1.80% 437% 18.76% 7.66t 1.86% 17.23% 10.78% (27.17%)
David Einhorn Jan 13 14 May 08 - Oct 08
GRT TOPAZ OFFSHORE PARTNERS. LTD - API 31 Aug 01 O $29M 2.624.13 30 May 1.55% 4.43% 12.25% 13.2% •1.64% 7.86% 12.82% (47.07%)
Gregory B Fraser & Rudolph K Kluiber & Timothy A. Dec 12 14 May 07 - Feb 09
Krochuk
HARBOUR HOLDINGS LTD 31 Dec 85 M $266M 176.86 30 Apr (0.90%) 2.57% 26.65% 14.64% •1.07% 18.52% 23.18% (49.05%)
Charles A. Padualet Mar 14 14 May 07 - Feb 09
HARVEY SMIDCAP OFFSHORE FUND LTD 31 Jan 06 O $74M 2.367.42 30 Apr (0.90%) 4.52% 15.93% 9.43% -4.99% 11.01% 7.65% (9.17%)
JellMoskowitz and Jim Schwartz Mar 14 14 April-Dec .11
SENVEST PARTNERS. LTD - CLASS A 31 Mar 97 O $629M 2.476.50 31 May (2.00%) 6.95% 79.51% 34.81% -33.96% 20.54% 3733% (7035%)
Richard Mashaal Apr 14 14 Feb 00 - Sep 02
TONGA PARTNERS LP 30 Jun 92 HY $113M 2.684.20 30 Apr 2.77% 5.94% 34.84% 24.02% -9.02% 16.25% 15.32% (50.33%)
J. Carlo Cannel!. Cannel! Capital LLC Apr 14 14 Jun 07 - Agx 09
TRISTAN PARTNERS LP 31 May 05 HY $105M 333.89 30 Apr (2.62%) (5.50%) 38.52% 17.18% 20.24% 14.47% 16.62% (49.97%)
J. Carlo Cannel!. Cannel! Capital LLC Apr 14 14 Jun 07 - Feb 09
Equity-Pharma-Biotech
Yid Avg. 2014 6.30%
Yid Avg. 2014
Equity-Pharma-Biotech/USA 6.30%
PERCEPTIVE LIFE SCIENCES OFFSH FUND. LTD 31 Dec 99 M $933M 2.181.31 31 May 0.54% 3.72% 43.88% 28.09% 5.82% 23.82% 25.68% (25.67%)
Joseph Edelman Apr 14 14 Feb 00 - May 00
TRAXIS SIVIK GLOBAL HEALTHCARE OFFSHORE - 30 Jun 01 M $40M 2.214.53 31 May 4.91% 8.37% 20.95% 13.88% -8.27% 6.34% 11.15% (32.70%)
A/01.01 Oct 13 14 Oct 07 - Feb 09
Krishen Sud
VISIUM BALANCED OFFSHORE FUND CL 2 31 Oct 05 WO $3'639M 264.35 31 May 1.35% 6.81% 18.57% 10.31% 1.89% 11.99% 8.99% (15.79%)
Jacob Gottlieb Apr 14 14 Aug 08 - Dec 08
Equity-Real Estate
Ytd Avg. 2014 14.63%
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 29
Source - HSBC
EFTA00619991
Equity Long/Short
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Equity-Real Estate/Global 14.63%
BROOKFIELD GLOBAL REITS LONG SHORT 30 Nov 04 M $352M 535.87 31 May 5.80% 14.63% 16.2% 40% -18.96% 19.32% 26.90% (54.37%)
STRATEGY Jan 14 14 May 07 - Feb 09
Jason Baine and Bernhard Krieg
Equity-Technology
Ytd Avg. 2014 6.53%
Ytd Avg. 2014
Equity-Technology/Global 3.61%
EXANE ARCHIMEDES FUND CLASS A CAP 30 Sep 06 W €344M 16.289.37 03 Jun (0.18%) 3.61% 3.84% -0.19% 3.99% 6.56% 4.67% (5.10%)
Gilles Lenoir and Cesar Zeitouni Mar 14 14 Nov 11 - May 12
Ytd Avg. 2014
Equity-Techn0l0gy/USA 9.45%
SELIGMAN TECH SPECTRUM FUND CLASS 31 Dec 06 M $118M 368.11 30 Apr 0.38% 9.45% 11.22% 0.65% -0.21% 8.67% 11.94% (19.91%)
-A1-S/2-2002 Apr 14 14 May 08 - Nov 08
J. & W. Seligman & Co. Incorporated
Equity-Utility
Ytd Avg. 2014 3.72%
Ytd Avg. 2014
Equity-Utility/Europe 3.72%
CYGNUS UTILITIES, INFRASTRUCTURE 8 30 Apr 06 M MHO 1.860.08 30 Apr (0.35%) 3.72% 2.98% 10.88% -2.7% 8.06% 7.73% (10.69%)
RENEWABLES Feb 14 14 Nov 09 - Aug 11
Cygnus Asset Management
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group l 30
Source 11560
EFTA00619992
Event Driven
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Equity-Diversified
Yid Avg. 2014 (0.29%)
Ytd Avg. 2014
Equity-Diversified/USA (0.29%)
MARCATO INTERNATIONAL LTD 30 Sep 10 O $ I '963M 165.53 31 May 6.40% (0.29%) 26.16% 28.67% .4.16% 14.73% 12.53% (17.63%)
Richard McGuire. Marcato Capital Management LLC Apr14 14 Mar11 -Seen
Multi-Strategy
Ytd Avg. 2014 4.66%
Ytd Avg. 2014
Multi-Strategy/Asia (3.96%)
YORK ASIAN OPPORTUNITIES UNITS TRUST -A- 31 Mar 06 O $600M 1.27720 30 Apr 0.50% (3.96%) 14% 10.8% .6.59% 9.48% 14.14% (34.54%)
Fong Hsiung /Masahiko Yamaguchi Apr 14 14 Oct 07 - Dec 08
Ytd Avg. 2014
Multi-Strategy/Emerging (0.99%)
MONEDA ABSOLUTE RETURN LTD SUB CLASS 31 Jan 07 O $72M 1.272.47 31 May 0.60% (0.99%) -0.55% 5.49% -16.4% 3.34% 12.28% (29.89%)
1/SIES1 Apr14 14 Jun 08 - Dec 08
Juan Luis Rivera
Ytd Avg. 2014
Multi-Strategy/Europe (2.54%)
MLIS - OZ EUROPE UCITS FUND CLASS B EUR 31 Mar 11 D $534M 109.79 02 Jun 0.16% (4.96%) 14.37% 10.74% -8.79% 2.99% 6.46% (10.96%)
David Windreich. Och-Zill Capital Management Group Feb 14 14 Apr 11 - Nov 11
PORTLAND HILL OVERSEAS FUND LTD 31 May 12 M $190M 125.93 31 May 3.46% (0.13%) 17.16% 7.62% 12.22% 7.25% (4.41%)
Thierry Lucas Mar 14 14 Feb 14 - Apr II
Ytd Avg. 2014
Multi-Strategy./Global 6.09%
AG SUPER FUND INTERNATIONAL. LTD 30 Apr 93 Y $640M 1.772.36 23 May 0.30% 4.36% 16.86% 13.67% -2.62% 10.18% 5.41% (24.78%)
Michael Gordon & Dave Kamin Sep 13 14 Jun 07 Dec 08
DAVIDSON KEMPNER INTL. LTD CLASS C Tranche 31 Oct 95 O $6'454M 482.17 23 May 0.27% 4.01% 9.8% 8.13% 1.38% 8.84% 3.72% (10.87%)
Thomas L. Kempner. Jr. Dec 13 14 Oct 07 - Nov 08
DROMEUS GLOBAL OPPORTUNITIES FUND 30 Jun 08 M $75M 234.33 23 May 3.63% 7.36% 11.65% 20.78% -1.62% 15.53% 9.63% (9.37%)
Dromeus Capital Management Ltd Mar 14 14 Apr II - May 12
KG INVESTMENT FUND LLC 31 Dec 08 O $102M 258.28 30 Apr (1.13%) (0.19%) 26.85% 21.93% 12.4% 19.48% 14.34% (20.31%)
KG Funds Management LLC Mar 14 14 Dec08- Feb 09
KL Special Opportunities FUND Ltd CLASS A USD 31 Jan 11 O $120M 132.31 30 Apr 1.14% 3.06% 9.44% 11.94% 4.8% 9.01% 5.88% (8.21%)
Jamie Sherman & Jan Lernout May 14 14 Mar 12 - Jun 12
MLIS - YORK EVEN DRIVEN UCITS E CAP EUR 31 Dec 10 D €424M 134.93 02 Jun 0.54% 5.85% 25.92% 5.44% -5.32% 8.70% 9.44% (15.14%)
York Ucits Holdings .lic Jan 14 14 Apr11 - Sep11
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 31
Source - HSBC
EFTA00619993
Event Driven
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Multi-Strategys,Global 6.09%
OWL CREEK OVERSEAS FUND. LTD 31 Jan 02 Y $2'068M 4.927.25 31 May 1.20% (2.21%) 48.63% 11.07% -15.44% 13.80% 12.99% (20.92%)
Jeffrey Altman Dec 13 14 Mar 10 - Sep It
PAULSON ADVANTAGE LTD -A- 31 Mar 04 O $931M 277.86 30 Apr (2.45%) 0.16% 26.05% -14.23% -35.96% 10.66% 15.13% (47.71%)
John Paulson Feb 14 14 Feb 11 - Nov 12
PAULSON ADVANTAGE PLUS LTD 31 Dec 04 O $2'166M 287.56 30 Apr (2.55%) 2.26% 27.22% -21.5% -52.64% 11.98% 22.69% (65.24%)
John Paulson Feb 14 14 Feb 11 - Feb 13
PAULSON RECOVERY FUND LTD 31 Oct 08 Y $1'503M 192.17 30 Apr (3.98%) 0.09% 63.18% 5.25% -27.92% 12.61% 19.82% (35.13%)
John Paulson Feb 13 14 Apr 11 -Sep 11
PERRY PARTNERS INTERNATIONAL INC CLASS -1 - 30 Sep 93 O / 2Y $6725M 1.041.12 31 May 1.13% 2.24% 20.25% 15.61% .7.14% 12.00% 7.21% (25.65%)
TN A Apr 14 14 Oct 07 - Nov 08
Richard Pony
PERSHING SQUARE INTL.LTD 31 Dec 04 Yla $2'964M 4.564.34 31 May 2.90% 22.67% 9.3% 12.39% -2.03% 17.49% 14.03% (20.35%)
William Ackman Apr 14 14 Jan 08 - Feb 09
SOLUS SOLA LTD CL. I 31 Dec 01 O $2'600M 1.247.06 31 May 1.33% 11.32% 31.67% 9.11% -1.73% 22.52% 14.25% (21.93%)
Chris Pacific. Scott Martin. Cl LaMar°. May 14 14 Feb 08 - Apr 09
SOMERSET SPECIAL OPPORTUNITIES FUND LP 31 Jul 07 O $293M 191.13 30 Apr (1.20%) 0.77% 12.75% 11.33% -1.25% 10.07% 10.92% (25.61%)
Robert Feingold Mar 14 14 Aug 08 - Mar 09
TRIAN PARTNERS LTD 31 Dec 05 O $2235M 201.13 31 May 2.20% 2.69% 40.06% 0.9% 3.98% 8.65% 13.36% (30.56%)
Nelson Peitz. Peter May & Ed Garden Feb 14 14 May 07 - Feb 09
TRISHIELD SPECIAL SITUATIONS FUND LLC 31 May 08 A $82M 544.18 30 Apr 1.62% 15.32% 22.84% 52.21% -8.38% 33.15% 32.83% (31.26%)
Michael Leibert Feb 14 14 Feb it .Oa 11
TYRUS CAPITAL EVENT FUND LTD 31 Oct 09 O $1'200M 165.58 31 May 0.98% 15.09% 15.75% 6.77% -0.22% 11.63% 6.43% (7.95%)
Tony Chedraoui Apr 14 14 Feb 11 - Sep 11
TYRUS CAPITAL OPPORTUNITIES FUND LTD 31 Mar 11 O $828M 136.34 31 May 1.03% 15.79% 14.72% 7.59% -4.6% 10.27% 6.63% (6.43%)
Tony Chedraoui Mar 14 14 Mar 11 - Sep It
WHITEBOX MULTI-STRATEGY FUND 31 Dec 01 O $466M 555.42 23 May (0.19%) 4.71% 18.09% 11.38% 1.2% 14.83% 9.87% (34.40%)
Andrew Redcoat. Paul Twitchell. Rob Vogel. Jason Cross Jan 14 14 Jun 08 - Dec 08
YORK INVESTMENT LTD -CLASS A-U/1 28 Feb 94 O $3'400M 9.350.38 30 Apr 0.25% 6.48% 18.77% 13.73% -7.34% 11.71% 8.88% (29.86%)
James Oman Feb 14 14 Oct 07 - Feb 09
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 32
Source - HSBC
EFTA00619994
Fixed Income Arbitrage
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann Return Ann. Vol Max
Dates Size Index Drawdownl
Fixed Income
Ytd Avg. 2014 2.28%
Ytd Avg. 2014
Fixed Income/Global 2.28%
AXONIC SYSTEMATIC ARBITRAGE OVERSEAS FUND 31 Mar 12 M $69M 121.53 30 Apr 3.23% 333% 22.85% -4.45% 9.82% 9.42% (10.06%)
LTD Mar 14 14 Jun 12 Sep 12
Olivier De Bellefonds. Arnaud De Bevy
BLACKROCK FIXED INCOME GLOBAL ALPHA FUND 30 Sep 06 M $5'300M 209.43 02 Jun 0.15% 1.58% 6.04% 14.73% 19.93% 10.11% 5.30% (1034%)
Tim Webb Feb 14 14 Jun 08 - Dec 08
BLACKROCK OBSIDIAN FUND 30 Jun 96 M $1'300M 6.991.09 23 May 0.00% 5.74% 10.83% 34.27% -13.5% 11.47% 9.22% (20.93%)
Stuart Spodek May 14 14 Jan 08 - Feb 09
CAPULA GLOBAL RELATIVE VALUE FUND LTD CLASS 30 Sep 05 O $6243M 229.46 31 May 0.61% 2.92% 7.56% 0.43% 6.21% 10.05% 4.66% (7.41%)
May 14 14 Feb 08 - Mar 08
Yan Huo. Masao Asai
III FUND LTD 30 Jun 93 M $115M 4.035.53 30 May 0.83% 3.19% 13.44% 11.83% 9.03% 6.89% 11.03% (54.77%)
Cliff G Viner Apr 14 14 Jan 08 - Nov 08
III RELATIVE VALUE CREDIT STRATEGIES FUND LTD 31 Oct 05 M $134M 1.832.72 30 May 0.42% 2.93% 8.5% 10.22% 10.36% 7.31% 8.13% (31.27%)
Lester Coyle Mar 14 14 Nov 07 - Dec 08
KAMUNTING STREET OFFSHORE FUND LTD 30 Apr 04 O $704M 263.01 30 Apr 4.60% 8.93% 6.97% 17.5% .6.2% 10.15% 12.55% (38.39%)
Allan Teh Mar 14 14 Oct 07 - Nov 08
KLS DIVERSIFIED FUND LTD 31 Jul 08 O $939M 164.14 31 May 1.76% 6.60% 1.58% 7.35% 4.85% 8.86% 3.32% (4.10%)
JellKronthal : Harry Lengsfield : John Steinhardt May 14 14 Apr 13 - Jul 13
LONDON DIVERSIFIED FUND. LTD - E 30 Jun 05 O $126M 1.100.42 30 May 0.09% (0.87%) 0.45% 4.86% 3.75% 1.08% 6.77% (29.25%)
Robert Standing Mar 14 14 Jan 08 - Dec 08
PELAGUS CAPITAL FUND 31 Dec 07 M $785M 204.58 31 May 0.44% 0.13% 3.38% 4.47% 2.27% 11.80% 5.74% (4.14%)
Bruno Usai Apr 14 14 Apr 11 -Aug 11
PIMCO ABSOLUTE RETURN STRATEGY IV 31 Mar 02 O $2998M 2.337.59 30 Apr (0.01%) 0.89% -0.44% 12.01% 1.82% 7.28% 8.56% (25.88%)
OFFSHORE FUND II . CL. Ail Mar 14 14 May 08 - Nov 08
William H. Gross. Cti Wang
PINE RIVER LIQUID MORTGAGE FUND LTD 31 Aug 10 M $134M 148.09 31 May (1.21%) (1.69%) 0.82% 28.86% 7.19% 11.04% 6.81% (4.70%)
Jiayi Chen. Steve Kuhn May 14 14 Feb 13 - Jun 13
PROLOGUE FEEDER FUND. LTD. CLASS A 31 Jan 06 O $2'112M 1.847.73 31 May (0.36%) (4.18%) 2.51% 6.02% 8.37% 7.64% 3.70% (5.86%)
David Loithouse. Graham Walsh Apr 14 14 May 13 - May 1a
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 33
Source - HSBC
EFTA00619995
Fund of Funds
Inception Liquidity Asset Last NAV or Date MTD YID 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdowni
Arbitrage
Ytd Avg. 2014 0.78%
Ytd Avg. 2014
Arbitrage/Global 0.78%
HSBC MAA FUND USD 15 Jun 95 O.'M $10110 212.21 16 May (0.06%) 0.78% 4.95% 4.21% .3.61% 4.05% 4.71% (25.30%)
HSBC Alternative Investments Limited Apr 14 14 Jul 07 • Dec 08
Event Driven
Ytd Avg. 2014 2.40%
Ytd Avg. 2014
Event Driven/Global 2.40%
GEMS PROGR. FUND SICAV RECOVERY PORTFOLIO 31 Dec 01 O $266M 2.446.24 30 May 0.21% 1.33% 8.61% 5.91% -12.46% 7.47% 6.63% (23.23%)
REGULAR USD Oct 12 14 Jun OS- Dec OS
David Goldfarb, Miguel Abed, Cedric Carrot
HSBC CREDIT MARKET OPPORTUNITIES FUND USD 31 May 09 O $53M 119.67 16 May (0.35%) 2.19% 9.19% 8.74% -7.47% 5.82% 5.99% (9.16%)
CLASS COMPOSITE Apr 14 14 Feb 11- Dec 11
Hsbc Management (Guernsey) Ltd
HSBC SPECIAL OPPORTUNITIES FUND LTD 28 Feb 07 O $75M 133.88 16 May 0.04% 3.68% 13.97% 20.63% -3.5% 4.13% 9.95% (35.45%)
HSBC Alternative Investments Limited Apr 14 14 Jun OS - Mar 09
Long/Short
Ytd Avg. 2014 (5.77%)
Ytd Avg. 2014
Long/Short/Asia (5.77%)
HSBC ASIAN ADVANTEDGE FUND 30 Jun 02 M $16M 171.96 30 Apr (2.00%) (5.77%) 7.86% 2.01% -11.59% 4.68% 8.01% (24.73%)
HSBC Alternative Investments Limited Apr 14 14 Dec 07 - Nov 08
Macro
Ytd Avg. 2014 (4.88%)
Ytd Avg. 2014
Macro/Global (4.88%)
MASTERS FUND LTD MAGNOLIA SERIES 31 Dec 96 O $247M 4,904.61 23 May 0.07% (4.88%) 11.11% 1.49% .0.36% 9.57% 8.63% (9.96%)
Sean M. Doyle May 14 14 Jul 98 Oct 98
Multi
-Strategy
Ytd Avg. 2014 (1.33%)
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group l 34
Source HSBC
EFTA00619996
Fund of Funds
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Yid Avg. 2014
Multi-Strategys,Global (1.33%)
DIAMOND CAPITAL MANAGEMENT 31 Oct 02 O $197M 176.88 30 Apr (0.90%) (1.02%) 10.45% 2.61% •1.97% 5.08% 4.33% (14.18%)
Elchanan Jaglom. Daniel Jaglom Mar 13 14 Jun 08 - Dec 08
GAM DIVERSITY I INC - US$ CLASS 31 Dec 89 M $516M 751.76 30 May 1.99% (0.45%) 10.49% 6.67% -3.44% 8.61% 7.92% (19.64%)
David Smith Oct 13 14 Jan 94 - Jan 95
GAM DIVERSITY II INC - US$ CLASS 31 Jul 98 M $77M 228.80 30 May 1.99% (0.49%) 10.34% 6.54% -3.66% 5.36% 7.31% (18.79%)
David Smith Jan 14 14 Oct 07 - Dec11
GAM TRADING II USD 30 Apr 97 M $1'536M 324.98 30 May 0.94% (1.11%) -0.45% 2.83% -4.11% 7.14% 5.77% (7.34%)
David Smith. Arvin Soh Jan 14 14 Apr 13 - Oct 13
HSBC GH FUND USD 31 May 96 M $1'645M 316.32 16 May (0.27%) (0.12%) 8.51% 5.4% -3.37% 6.62% 6.30% (18.30%)
HSBC Alternative Investments Limited Apr14 14 Jun 08 - Dec 08
HSBC HEDGE INVESTMENTS FUND 28 Feb 02 O $3M 165.85 30 Apr (0.99%) 0.19% 8.22% 5.97% -2.72% 4.24% 4.86% (17.63%)
HSBC Alternative Investments Limited Feb 14 14 Jun 08 - Dec 08
HSBC LEVERAGED GH FUND 30 Nov 04 M $1'645M 145.88 16 May (0.64%) (1.00%) 15.12% 8.72% -8.76% 4.07% 11.51% (37.09%)
HSBC Republic Investment Limited Apr14 14 Jun 08 - Dec 08
HSBC NEXT GENERATION FUND NNI MANDATE Share 30 Sep 11 M $31M 102.62 16 May (0.83%) (4.73%) 7.28% 1.98% -1.55% 0.99% 4.80% (6.07%)
Class Apr 14 14 Feb 14 - May 14
HSBC Management (Guernsey) Ltd
HSBC UCITS ADVANTEDGE FUND -USD CLASS 31 Oct 09 W $154M 96.97 28 May 0.00% (3.23%) 7.25% 1.38% -7.51% (0.66%) 3.90% (8.81%)
Hsbc Alternative Inv. Ltd Apr 14 14 Apr 10 - Dec 11
Trading
Ytd Avg. 2014 1.48%
Yld Avg. 2014
Trading/Global 1.48%
HSBC TRADING ADVANTEDGE FUND 31 Oct 05 M $113M 131.57 16 May 1.73% 1.48% -8.75% -5.39% -1.62% 3.26% 9.67% (20.93%)
HSBC Alternative Investments Limited Apr14 14 Apr11 -Sep 13
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 35
Source - HSBC
EFTA00619997
Long Only
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Equity-Diversified
Ytd Avg. 2014 (5.30%)
Ytd A 2014
Equity-Diversified/Emerging (5.vg.30%)
RUSSIAN PROSPERITY FUND • A 31 Aug 96 W $O20M 224.55 30 May 13.36% (5.30%) 3.11% 20.19% .18.03% 19.36% 44.37% (90.26%)
Alexander Brants May 14 t4 Jul 97 - .San 99
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group l 36
Source HSBC
EFTA00619998
Macro
Inception Liquidity Asset Last NAV or Date MTD YID 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Commodity
VW Avg. 2014 3.63%
Ytd Avg. 2014
Commodity/Global 3.63%
ANDURAND COMMODITIES FUND 31 Jan 13 M $280M 1,023.98 30 Apr 2.10% 3.04% 25.02% 22.58% 16.49% (11.86%)
Pierre Andurand Apr 14 14 Jul 13 - Dec 13
ARMAJARO COMMODITIES FUND CLASS •A• 31 Mar 04 M $686M 226.76 30 May (1.72%) (2.20%) 1.04% 1.65% -7.11% 8.39% 11.06% (15.56%)
John Tilney Mar 14 14 Feb 08 - Dec 08
BREVAN HOWARD COMMODITIES STRATEGIES 28 Feb 10 M $738M 109.50 30 May 3.21% 6.58% 4.22% 5.8% -2.65% 3.00% 9.07% (12.22%)
FUND L.P. Apr 14 14 Sep 12 - Nov 13
Stephan Nicolas
DB PLATINUM V HERMES A.R. COMMODITY FUND 28 Feb 10 D $84M 109.54 03 Jun (0.31%) 0.82% .5.82% .0.65% 9.69% 2.16% 6.09% (14.03%)
Colin O'Shea Jan 14 14 Mar 12 - Nov 13
KROM RIVER COMMODITY FUND 30 Jun 06 M $241M 159.97 31 May 0.16% 0.49% .6.47% 4.92% -3.89% 6.11% 9.14% (18.68%)
Christopher Brodie May 14 14 Apr 11 -Jan 14
MERCHANT COMMODITY FUND (THE) • COMPOSITE 31 May 04 M $134M 403.25 31 May (2.00%) 13.04% 15.77% .7.6% -30.07% 14.95% 20.79% (36.93%)
Michael Coleman and Doug King Mar 14 14 Dec 10 - Oct 11
Commodity-Systematic
Ytd Avg. 2014 5.05%
Ytd Avg. 2014
Commodity-Systematic/Global 5.05%
ARMAJARO STS COMMODITIES FUND CLASS -Z- 31 Dec 09 M $24M 79.77 30 May (1.04%) 5.05% -7.8% -18.15% -15.89% (4.99%) 22.25% (48.58%)
INN Griffin Jan 14 14 Apr11 - Oct 13
Currency I
Ytil Avg. 2014 0.00%
•
Ytd Avg. 2014
Currency/Asia (0.60%)
DYMON ASIA MACRO FUND (SERIES A) 31 Jul 08 Id $2'929M 151.74 31 May (0.23%) (2.55%) 5.19% 0.96% 20.11% 7.41% 10.94% (13.69%)
Danny Yong Apr 14 14 Jul 08 - Sep 08
THE CAMBRIDGE STRATEGY • ASIAN MARKETS 31 Jan 06 M $75M 162.25 30 May 3.08% 1.36% 1.06% 0.86% 6.36% 5.98% 8.05% (6.96%)
CURRENCY ALPHA Mar 14 14 May 13 - Apr 14
Alexandra Edstein
Ytd Avg. 2014
Currency;Global 0.40%
HARNESS MACRO CURRENCY FUND 31 Mar 09 D $94M 146.26 03 Jun 0.52% 2.37% 3.51% 17.65% 4.62% 7.62% 11.03% (13.52%)
Philippe Peress Apr 14 14 Apr 10 -Aug 10
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 37
Source HSBC
EFTA00619999
Macro
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Yid Avg. 2014
Currency/Global 0.40%
THE CAMBRIDGE STRATEGY - EMERGING MARKETS 31 Jan 08 M $561M 155.80 30 May 2.82% 2.13% -0.3% 7.42% 10.46% 7.25% 7.97% (10.76%)
CURRENCY ALPHA Jan 14 14 May 13 - Sep 13
Jesse Maize. Andrew öresler
THE CAMBRIDGE STRATEGY - EXTENDED MARKETS 31 Mar 04 M $4M 115.14 30 May (0.43%) (130%) -9.96% -1.47% -0.92% 1.40% 6.82% (30.78%)
CURRENCY ALPHA Mar 14 14 Feb09. May 14
Roben Cofehan
Diversified
Yid Avg. 2014 (2.95%)
Yid Avg. 2014
Diversified/Asia (5.42%)
ALPHADYNE INVESTMENT STRATEGIES FUND LTD 31 Jan 07 M $411M 1.769.05 30 May (0.51%) (4.49%) 12.15% 7.06% 3.11% 8.09% 5.02% (5.17%)
Bart Broadman. Philippe Khuong-Huu Apr 14 14 Jan 14 -May 14
BREVAN HOWARD ASIA FUND LIMITED 30 Sep 04 M $2'640M 229.44 30 May (0.33%) (1/6%) 11.55% 4.41% 8.86% 8.97% 3.82% (1.94%)
Kaspar Ernst Apr 14 14 Jan 10 - Mar 10
FORTRESS ASIA MACRO FUND 28 Feb 11 O $2'839M 139.15 31 May 0.30% (5.08%) 17.06% 21.23% 3.3% 10.68% 6.47% (5.36%)
Adam Levinson Apr 14 14 Dec 13 - Apr 14
SINFONIETTA FUND 31 May 08 M $81M 167.39 31 May 1.21% (10.73%) 34.47% 7.07% 22.92% 8.96% 15.35% (14.44%)
Symphony Financial Partners May 14 14 Jun 08 - Mar 09
Yid Avg. 2014
DiversifiedlEmerging 1.80%
ALPHA4X CAPITAL GROWTH FUND 30 Apt 06 M $97M 148.80 30 Apr (2.10%) (3.46%) -7.33% 2.54% 11.5% 5.09% 6.76% (12.78%)
ManuelE Mej/a-Aoun. Urvish Bidkar. Fabio luo Apr 14 14 Jun 13- Apr 14
BLUECREST EMERGING MARKETS FUNDS 31 Aug 05 O $1230M 204.60 31 May 1.88% 3.52% 4.65% 10.9% -0.43% 8.53% 10.56% (22.89%)
Bluecrest Capital Management LLP Apr 14 14 Oct 07 - Oct 08
GAVEA FUND LTD . CLASS A S11 31 Jul 03 O $1'439M 224.77 31 May (1.18%) (419%) 2.71% 8.19% -0.35% 7.76% 6.62% (1230%)
Fraga Anninio and Gabriel Srour Apr 14 14 Jul 08 Oct 08
GREEN FUND LLC GREEN CLASS 31 Jan 01 M $1767M 693.96 31 May (0.01%) (4.51%) 9.9% 13.55% -5.7% 14.63% 14.01% (3100%)
Luis Stuhiberger Nov 13 14 Jun 08 Nov 08
PHARO TRADING FUND 30 Nov 00 M $376M 5.597.12 23 May 2.87% 17.98% 19.65% 0.69% -2.68% 13.62% 10.41% (13.16%)
Guillaume Fonkenell Apr 14 14 Feb 08 Oa 08
SPINNAKER GLOB OPP FUND. LTD COMPOSITE 31 Jan 01 O $804M 511.89 15 May (0.01%) 3.14% 0.97% 14.12% -11.82% 13.07% 9.19% (31.74%)
Jorge Rosas Feb 14 14 May 08 Feb 09
THE CAMBRIDGE STRATEGY - APOLLO (EM MACRO) 30 Apr 09 M $442M 142.88 30 May 2.20% 0.31% -2.05% 12.92% 14.14% 7.27% 5.92% (10S0%)
ABSOLUTE RETURN Mar 14 14 Mar 13 Oct 13
Russell Thompson. Walid Khalfalfah. Ali Bora
Yigitbasioglu
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 38
Source - HSBC
EFTA00620000
Macro
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Diversified/Global (3.62%)
BREVAN HOWARD FUND. LTD - USD CLASS A 31 Mar 03 M $26754M 298.12 30 May (0.31%) (4.22%) 2.68% 3.93% 12.15% 10.27% 6.80% (8.30%)
Alan Howard Apr 14 14 Apr i3 - May 14
BTG PACTUAL GLOBAL EM. MKTS AND MACRO FD 31 Jan 09 M $5'533M 2.956.38 30 Apr 0.78% 5.37% 9.65% 28.12% 3.44% 22.95% 7.19% (3.57%)
BTG Pactual Global Asset Management Jan 14 14 May I 1 - Dec it
CANOSA GLOBAL MACRO FUND LTD 30 Apt 13 M $1.017M 106.98 31 May 0.30% (2.17%) 9.34% 6.42% 7.65% (4.66%)
Tim Attias. Santiago Afarco Apr 14 14 Aug 13 - Oct 13
CAPITAL FUND. LTD (THE) 31 Dec 99 M $59M 367.61 30 May 0.16% (0.59%) -3.07% 0.21% 4.65% 9.45% 10.30% (17.38%)
Kenneth Windheim Jan 14 14 Jan 09 - Mar 10
CAXTON GLOBAL INVESTMENT LTD 31 Jan 97 0 $4'880M 852.09 03 Jun 0.63% (5.55%) 18.13% 1.96% 0.7% 13.15% 7.42% (7.37%)
Andrew E. Law Nov 13 14 Jun 07 - Aug 07
COMAC GLOBAL MACRO FUND 31 May 06 M $1D66M 148.05 23 May 0.30% (3.02%) 0.53% -8.95% 5% 5.04% 8.02% (14.56%)
Calm O'Shea Apr 14 14 Apr 10 - Aug 13
COMMONWEALTH OPPORTUNITY CAYMAN FUND 30 Nov 08 M $1'010M 210.87 23 May 0.05% 2.51% 5.39% 15.64% 10.75% 14.59% 9.97% (10.38%)
LTD Mar 14 14 Jan 09 - Feb 09
Adam Fisher
DISCOVERY GLOBAL MACRO FUND LTD CLASS -A- 31 Aug 11 0 $3'576M 1.283.25 30 May (0.02%) (14.08%) 26.95% 18.87% •1.02% 9.50% 11.68% (15.78%)
SERIES 1 Apr 14 14 Feb 14 - May 14
Robert K Citron
DISCOVERY GLOBAL OPPORTUNITY FUND. LTD 31 Jul 99 HY $8'640M 852.89 30 May 1.80% (10.46%) 27.5% 15.06% 3.58% 15.54% 14.69% (33.03%)
Roben K Citron Apr 14 14 Dec 07 - Dec 08
ECLECTICA FUND (THE) CLASS A EURO 30 Sep 02 M C404M 225.21 30 May 2.30% (4.84%) -0.01% -1.72% 12.11% 7.20% 21.15% (31.94%)
Hugh Hendry Apr 14 14 Feb 08 - Sep 08
ELEMENT CAPITAL FUND 31 Mar 05 M $4.349M 66.033.96 30 Apr 0.28% 0.85% 19.44% 2.73% 5.54% 23.09% 9.86% (7.83%)
Jeffrey Talpins Apr 14 14 Oct 07 - Apr 08
EPISODE INC. CLASS A 31 Jul 05 0 $1'490M 143.27 23 May 1.38% 4.29% 6.14% -4.69% 0.98% 4.16% 11.40% (32.77%)
David Fishwick 1 Tony Finding Oct 13 14 Oct 07 - Feb 09
FORTRESS MACRO FUND LTD. CLASS A 31 Dec 08 M $1'681M 1.228.08 31 May 0.28% (6.08%) 13.97% 17.82% -9.33% 7.15% 7.12% (11.34%)
Michael E. Novogratz & Adam Levinson Apr 14 14 Meru - Nov (
GAM GLOBAL RATES HEDGE FUND 31 Jan 04 M $414M 227.63 27 May 2.51% 4.66% -0.11% 14.71% -6.73% 8.29% 7.25% (12.25%)
Adrian Owens Mar 14 14 Mart 1 - Sept 1
GAMUT INVESTMENTS 30 Jun 86 M $97M 8.257.19 30 May 2.60% 5.24% -2.83% 0.29% -0.95% 17.12% 13.15% (13.45%)
Adrian Owens Dec 13 14 Dec 87 - Apr 88
GRAHAM ABSOLUTE RETURN TRADING LTD 31 Dec 04 0 $627M 391.57 03 Jun 0.97% (2.87%) 10.42% 9.22% 4.5% 12.60% 9.74% (13.31%)
Graham Capital Management. L.P. Apr 14 14 May 07 - May 08
GRAHAM GLOBAL INVESTMENT FUND II - 31 May 04 0 $3'190M 211.12 03 Jun 0.68% (5.74%) 7.22% 7.35% 6.82% 10.72% 10.29% (30.81%)
DISCRETIONARY ENHANCED VOL May 14 14 May 07 - Jun 08
Kenneth G. Tropin
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 39
Source - HSBC
EFTA00620001
Macro
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Diversified/Global (3.62%)
GRAHAM GLOBAL INVESTMENT FUND- 31 May 04 O $3190M 257.56 03 Jun 0.34% (2.90%) 3.63% 3.83% 3.56% 6.11% 5.10% (14.81%)
DISCRETIONARY May 14 14 May 07 - Jun 08
Kenneth G. Tropin
HARMONIC ALPHA PLUS MACRO FUND - USD CLASS 30 Apr 03 M $76M 125.91 31 May 0.85% (1.63%) -8.34% 23.45% -8.95% 5.39% 12.00% (18.17%)
Richard Conyers Mar 14 14 Aug 12 - Feb I4
MELLON OFF GLOB OPP FUND LTD - 30 Nov 05 M $171M 1.013.97 30 Apr (1.73%) (12.16%) 1.21% -2.53% 4.79% 0.16% 9.02% (31.90%)
MULTICURRENCY - Al Oct 13 14 Jan 07 - Oct 08
Alexander Hubens & JellZhang
MELLON OFF. ALPHAACCESS FUND LTD - MCY API 31 Jul 05 M $71M 855.23 30 Apr (3.44%) (23.78%) 5.4% -4.79% 4.46% (1.77%) 17.82% (59.00%)
Alexander Hubens & JellZhang Oct 13 14 Jan 07 - Oc108
MKP OPPORTUNITY OFFSHORE. LTD 31 Jul 01 M $3227M 294.46 31 May 0.40% (4.77%) 7.09% 6.9% 11.42% 8.77% 5.38% (5.15%)
MKP Capital Management. L.L.C. Apr 14 14 Dec 13 - Apr 14
MLM MACRO PEAK PARTNERS OFFSH FD. LTD - B 31 Mar 02 M $573M 2.220.00 31 May 0.17% (6.72%) 23.84% -0.76% -35.04% 6.77% 17.85% (36.99%)
Timothy Rudderow Sep 13 14 Dec 10 - May 12
MOORE GLOBAL INV FD. LTD - A $ 31 Dec 89 O $3'332M 52.403.95 22 May (1.66%) (6.32%) 17.02% 8.82% -2.21% 17.61% 11.71% (18.45%)
Louis Bacon Mar 14 14 Jan 94 - Feb 95
MOORE MACRO MANAGERS FUND. LTD CLASS -A- 31 Jul 93 O $3'602M 11845.43 22 May 0.11% 0.80% 13.49% 9.01% -2.57% 13.45% 8.32% (14.47%)
Louis Bacon Feb 14 14 Jan 94 - Feb 94
OMNI MACRO FUND I LIMITED 30 Apr 07 M $298M 252.32 31 May 0.74% 2.79% -4.87% 0.74% 10.45% 13.94% 12.88% (14.14%)
Stephen Rosen. Nick Munns Mar 14 14 Aug 10 - Apr 11
ONSLOW MACRO FUND CLASS A 31 Dec 07 M $114M 148.01 30 Apr (0.71%) (0.64%) 7.16? -6.72% 3.17% 6.34% 14.77% (25.48%)
Nicolas Galperin. Esteban Klein May 14 14 Sep 08 - Oct 08
PHARO MACRO FUND LTD 30 Apr 05 O $3'554M 3.048.26 23 May 0.50% 6.93% 18.51% 12.53% -7.82% 13.08% 8.66% (9.64%)
Guillaume Fonkenell Apr 14 14 Jun 08 - Nov 08
PINPOINT MULTI-STRATEGY FUND 29 Feb 08 M $134M 150.19 16 May (1.11%) (3.71%) 4.65% 6.19% -10.43% 6.77% 10.70% (17.36%)
Clang Wang Sep 13 14 Jun 08 - Nov 08
RUBICON GLOBAL FUND. LTD 31 Oct 99 M $851M 421.58 31 May (4.97%) (19.13%) 18.25% -3.89% 5.34% 10.36% 14.73% (36.03%)
Paul Brewer May 14 14 Dec 04 - May 07
TREND MACRO OFFSHORE LTD 31 Jul 11 M $366M 130.64 30 May 0.11% 1.74% 14.81% 16.56% -4.04% 9.89% 5.97% (6.45%)
Ashwin Vasan Apr 14 14 Aug 11 - Jun 12
TT INTERNATIONAL FUND 31 Aug 89 M $275M 7.30409 31 May (1.32%) (4.34%) 7.36% 4.27% •14.09% 8.29% 14.25% (27.05%)
Tacchi Tim Mar 14 14 Jan 94 - Jan 95
TUDOR B.V.I GLOBAL FUND LTD -A- 31 Oct 86 O $7.11811/4A 120.295.79 30 May (0.58%) (4.91%) 13.99% 5.41% 2.17% 18.95% 18.66% (17.07%)
Paul Tudor Jones Apr 14 14 Apt 92 - Jul 92
TUDOR B.V.I GLOBAL FUND LTD •A• ALT SERIES 01 31 Dec 11 O $5'620M 122.230.29 30 May (0.47%) (4.41%) 14.29% 6.27% 6.38% 7.22% (4.41%)
Paul Tudor Jones May 13 14 Dec 13 - May 14
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 40
Source - HSBC
EFTA00620002
Macro
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdowni
Ytd Avg. 2014
Diversified/Global (3.62%)
TUDOR DISCRETIONARY MACRO FUND CLASS I 30 Jun 12 0 $1'715M 1,083.81 30 May (0.23%) (6.89%) 13.2% 2.82% 4.29% 7.83% (9.13%)
Seder 01 Apr 14 14 Jun 13 -May 14
Multi-PM Platform
Fixed Income
Ytd Avg. 2014 (0.31%)
Ytd Avg. 2014
Fixed IncomeiGlobal (0.31%)
BREVAN HOWARD INVEST. FUND - EMERGING 31 May 10 W $402M 111.35 30 Apr (0.28%) (0.31%) -3.84% 7.21% 2.97% 2.78% 4.72% (5.89%)
MARKETS LOCAL FIXED INCOME FUND Mar 14 14 Feb 13. Feb14
Filippo Cipdani, Brevan Howard Asset Management
Systematic
Ytd Avg. 2014 (9.15%)
Ytd Avg. 2014
Systematic/Global (9.15%)
EAGLE QUANTITATIVE MACRO FUND LTD 30 Sep 06 1,.1 $417M 155.76 31 May 1.08% (9.15%) -10.32% 8.57% 4.2% sass 14.01% (22.33%)
Eagle Trading Systems Inc. (Menachem Sternberg) Apr 14 14 May 12 . Apr 14
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group 41
Source HSBC
EFTA00620003
Managed Futures
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Commodity
Ytd Avg. 2014 16.28%
Ytd Avg. 2014
Commodity/Global 16.28%
CUMULUS ENERGY FUND CLASS A USD 30 Sep 06 M $480M 663.66 31 May 0.60% 16.28% 13.96% 24.55% 99.63% 27.98% 35.39% (41.27%)
Peter Brewer Apr 14 14 Sep 07 • Apr 08
Currency
Ytd Avg. 2014 3.11%
Ytd Avg. 2014
Currency/Global 3.11%
ORTUS FUND (CAYMAN) LTD 30 Sep 03 M $105M 201.04 31 May (0.39%) 3.11% -17.32% -17.33% 5.7% 6.76% 12.04% (32.73%)
&Joe Zhou Apr 14 14 Jan 12 -Jan 14
Fixed Income
Ytd Avg. 2014 (3.42%)
Ytd Avg. 2014
Fixed Income/Global (3.42%)
DB SELECT EUROFIN ACCURATE FX INCOME INDEX 31 Dec 07 D €43M 96/0 03 Jun (0.71%) (3.42%) 2.39% 1.85% 8.88% 4.21% 6.58% (5.68%)
Joao Poppe, Narclso Vega Apr 14 14 Aug 10 -Mar11
Systematic
Ytd Avg. 2014 0.19%
Ytd Avg. 2014
Systematic/Global 0.19%
AHL (cayman) SPC EVOLUTION USD 31 Aug 05 M $1'518M 1.32 31 May 5.4t% 10.6t% t6.91% 23.53% 10.53% 16.02% 12.67% (13.16%)
Tim Wong . Matthew Sargaison Jul 13 14 Jun 08 - Oct 08
AHL ALPHA 30 Sep 95 M $198M 8.99 31 May 3.72% 3.93% -1.52% -0.06% -2.75% 12.47% 12.49% (12.28%)
Tim Wong. Matthew Sargaison Feb 14 14 Oct 01 - Feb 02
AHL DIVERSIFIED 29 Feb 96 W $527M 93.30 30 May 6.13% 5.36% -3.06% -2.22% -5.9% 13.01% 16.76% (19.53%)
Tim Wong, Matthew Sargaison Jul 13 14 Oct 01 - Apr 02
ASPECT DIVERSIFIED FUND • CLASS A 30 Nov 98 W $1'091M 292.79 04 Jun (1.82%) (3.61%) -4.44% •10.66% 4.51% 7.17% 15.89% (22.19%)
Anthony Todd May 14 14 Feb 12 - Mar 14
BLUETREND FUND. LTD • CLASS A 31 Mar 04 M $10'200M 281.55 31 May 6.32% 3.33% -11.5% 0.02% 0.32% 10.71% 14.11% (22.05%)
Michael Platt & Leda Braga Apr 14 14 Apr 11 -Jan 14
BORONIA DIVERSIFIED FUND MASTER 31 Aug 93 M $43M 1,874.19 03 Jun (0.19%) 1.65% 13.23% -3.99% -8.75% 9.34% 11.55% (14.56%)
Richard Grinham and Angus Grinham Apr 14 14 Feb 08 - Apr 12
CAMPBELL GLOBAL ASSETS FUND LTD Class A 31 Jan 98 M $109M 3,610.04 30 May 2.58% (7.54%) 12.57% 4.52% -2.92% 8.18% 13.23% (21.17%)
Campbell & Company Mar 14 14 Jun 07 -Jan 10
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 42
Source - HSBC
EFTA00620004
Managed Futures
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Systematic/Global 0.19%
CAMPBELL GLOBAL ASSETS FUND LTD Class B 30 Jun 02 M $109M 1006.86 30 May 2.74% (7.65%) 11.34% 1.84% 1.83% 5.79% 11.60% (22.92%)
Campbell & Company Mar 14 14 Jun 07 - Aug 07
CANTAB CAPITAL PARTNERS QUANTITATIVE FUND 28 Feb 07 M $518M 1.396.38 30 May 2.66t (4.60%) -27.65% 15.32% 12.84% 4.93% 15.64% (34.86%)
(THE) - USD ARISTARCHUS May 14 14 Apr 13 - Apr 14
Ewan Kirk. Erich Schlaikjer. Cantab Capital
CONQUEST MACRO FUND. LTD (COMP) 30 Apr 99 M $157M 1.99123 04 Jun (1.80%) 2.19% -7.66% -33.16% -5.67% 4.69% 19.54% (56.21%)
Marc Malek Aug 13 14 Jul 09 - Mar 13
CRABEL FUND SPC LTD CLASS A 28 Feb 98 M $365M 5.511.02 31 May 1.39% 2.43% 2.2% 15.53% -1.93% 11.07% 16.19% (16.71%)
Toby Crabel Dec 13 14 Oct 98 - Jun 99
DB PLATINUM IV DBX SYSTEMATIC ALPHA INDEX 30 Jun 10 W $1'267M 119.10 30 May 1.87% 2.92% 6.63% -3.96% 4.85% 4.56% 7.52% (7.87%)
FUND - CLASS I1CU Sep 13 14 Apr 13 - Aug 13
DB Platinum Advisors
DISCUS FEEDER LTD CL. B USD STANDARD 31 Dec 90 M $133M 1.01112 30 May 2.05% 0.54% -10.32% -13.88% 21.95% 10.64% 15.60% (3436%)
LEVERAGE Apr 14 14 Jun 94 - Oct 95
Team managed
EAGLE GLOBAL FUND 30 Sep 95 M $59M 721985.86 30 May (0.24%) (18.05%) -15.88% 8.1% 8.82% 11.17% 23.27% (36.19%)
Menachem Sternberg May 14 14 Apr 13 - Mar 14
EDGESTREAM NIAS FUND 30 Jun 04 M $650M 187.35 31 May 2.54% 2.59% 10.05% -0.82% -4.52% 6.53% 6.88% (9.76%)
Edges frown Partners. LP Jun 14 14 Dec 04 - Sep OS
FORT GLOBAL DIVERSIFIED 30 Sep 93 D $79M 1336.44 30 May 4.42% 7.66% -4.67% 7.12% 39.95% 16.46% 19.28% (26.55%)
Yves Baker. Sajiv Kumar Apr 14 14 May 99 - Sep 00
GRAHAM GIF II PROPRIETARY MATRIX SP SIES A 30 Jun 99 M $836M 307.13 03 Jun (0.76%) (7.10%) 13.72% -0.07% -9.85% 7.80% 11.87% (17.90%)
Kenneth G. Tropin Apr 14 14 Apr 11 -Nov 12
GRAHAM GLOBAL INVESTMENT FUND II - K4D-10V 31 Jan 95 M $2249M 350.89 03 Jun (1.58%) (4.96%) 10.04% -4.91% -13.12% 6.70% 12.22% (20.70%)
Kenneth G. Tropin May 14 14 Apr 11 - Nov 12
GRAHAM GLOBAL INVESTMENT FUND II - K4D-15V - 31 Dec 00 M $2249M 206.83 03 Jun (2.37%) (7.40%) 15.25% -7.15% -18.64% 9.45% 19.23% (29.84%)
COMPOSITE May 14 14 Feb 04 - Apr OS
Kenneth G. Tropin
GRAHAM GLOBAL INVESTMENT FUND TACTICAL 30 Sep 06 W $1'038M 189.89 31 May 1.65% (0.60%) 8.44% 4.21% -0.1% 8.72% 10.08% (8.00%)
TREND S/A May 14 14 Nov 09 - Jan 10
Graham Capital Management. L.P.
ISAM SYSTEMATIC FUND CLASS A 31 May 01 M $190M 366.17 31 May 3.86t 3.21% -10.67% -17.46% -2.74% 10.49% 17.94% (34.79%)
ISAM Systematic Management Jun 14 14 Feb 11 - Sep 13
KEYNES LEVERAGED QUANTITATIVE STRATEGIES 31 Dec 04 M $241M 99.46 31 May 2.10% (4.05%) -3.98% 6.54% -5.89% 6.12% 12.00% (12.83%)
FUND CLASS - B -COMPOSITE Sep 13 14 Apr 06 - Sep 06
Sushi! Wadhwani.
LYNX (BERMUDA) LTD 30 Apr 00 M $1'895M 462.65 04 Jun (2.04%) (2.79%) 11.1% -6.71% -2.25% 11.47% 14.25% (14.72%)
Jonas Bengtsson. Svante Bergstrom. Martin Sandquist Apr 14 14 Sep 11 - Aug 13
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 43
Source - HSBC
EFTA00620005
Managed Futures
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Systematic/Global 0.19%
LYNX BERMUDA 1.5 LTD 30 Apr 08 M $336M 145.69 04 Jun (3.04%) (4.46%) 16.7% -10.82% -4.08% 6.36% 22.29% (22.55%)
Jonas Bengtsson. Svante Bergstrom. Martin Sandquist Apr 14 14 Sep 11 - Aug 13
MLIS - GRAHAM CAPITAL SYSTEMATIC MACRO 30 Nov 10 D $83 M 78.22 02 Jun (0.86%) (4.07%) 11.59% -10.09% -20.38% (6.77%) 1232% (31.34%)
UCITS FUND Feb 14 14 Feb 11 - Nov 12
Graham Capital Management L.P.
RENAISSANCE INSTITUTIONAL FUTURES FUND LP 30 Sep 07 M $584M 124.18 30 May (0.40%) 4.45% 2.15% -3.17% 1.84% 3.30% 11.05% (22.27%)
Renaissance Technologies LLC Feb 14 14 Jun 08 - Jun 09
SOLAISE SYSTEMATIC FUND LTD ( S Class) 31 May 11 M $31M 96.87 31 May 0.88% 0.25% 1.84% -0.15% .4.97% (1.05%) 11.67% (13.61%)
Ali Najjar May 14 14 Aug 11 - Aug 13
TEWKSBURY INVESTMENT FUND. LTD - B 31 Dec 90 M $2'561M 18.024.64 31 May 1.80% 7.90% 7.57% 3.53% 4.55% 13.14% 4.71% (7.75%)
Matthew Tewksbury Feb 14 14 Jun 07 - Aug 07
TRADELINK INTEGRATED PROGRAM LTD 31 Dec 93 M $67M 2.403.99 31 May 2.28% 1.54% 7.76% -6.33% -21.27% 16.84% 22.52% (36.53%)
Alex Brockman Mar 14 14 May 03 - Jan OS
TULIP TREND FUND. LTD - A 31 Mar 03 M $396M 3.978.07 31 May 9.08% 8.10% -0.01% 4.89% -20.93% 13.15% 25.41% (34.25%)
Progressive Capital Partners Ltd Mar 14 14 Feb 09 - Jen 10
TWO SIGMA COMPASS CAYMAN FUND 31 Jul 09 M $830M 2.021.74 31 May 5.96% 12.63% 14.07% 4.23% 2.33% 15.66% 8.04% (9.85%)
Two Sigma Investments. LLC Feb 14 14 Apr 11 - Sep 'II
WINTON EVOLUTION FUND (THE) 31 Aug 05 M $258M 1.52128 04 Jun (0.77%) 0.96% 14.56% -8.31% 3.83% 4.90% 10.49% (14.61%)
David Harding May 14 14 Jun 08 - Jul 09
WINTON FUTURES FUND - CLASS B 30 Sep 97 M $10263M 907.42 04 Jun (0.77%) 1.06% 9.4% -3.56% 6.29% 14.13% 16.87% (25.08%)
David Harding May 14 14 Oct 0i . Feb 02
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 44
Source - HSBC
EFTA00620006
Market Neutral
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdown
Discretionary
Yid Avg. 2014 0.87%
Yid Avg. 2014
Discretionary/Asia 10.23%
AMAZON MARKET NEUTRAL FUND CLASS A USD 31 Aug 05 M $327M 418.91 30 May 2.50% 10.23% 7.34% 1.85% 11.56% 17.79% 11.82% (20.20%)
Philip King Apr 14 14 Jun08 • Dec 08
Ytd Avg. 2014
Discretionary/Europe (1.39%)
EXANE MICROMEGAS FUND LTD- CLASS A CAP 30 Jun 06 €64M 15.244.21 03 Jun (0.19%) 1.55% 3.43% -5.74% 1.38% 3.67% 5.48% (8.06%)
Jerome Poirot Mar 14 14 Feb 12 • SOP 13
MBAM ACTIVE LONG SHORT 31 Jul 10 M $506M 115.81 31 May (1.18%) (2.08%) 5.06% 3.61% 0.08% 3.90% 3.56% (3.82%)
Hilton Nathanson Mar 14 14 Feb 14 - May 14
OYSTER MARKET NEUTRAL EUR 31 Jul 09 $285 M 167.69 03 Jun 0.16% (3.63%) 10.72% 6.4% -6.15% 2.33% 4.46% (7.28%)
Syz Asset Management S.A. Feb 14 14 Feb 14 - May 14
Ytd Avg. 2014
Discretionary/Global 2.12%
BLACK DIAMOND RELATIVE VALUE LTD -C-Shs 31 Jul 99 O $896M 351.82 31 May 1.25% 3.76% 8.31% 9.48% -3.25% 8.84% 5.35% (8.09%)
Clint Carlson Apr 14 14 Mar 11 - Sep It
MARSHALL WACE MW MARKET NEUTRAL TOPS A 31 Oct 07 M $507M 142.08 04 Jun 0.78% 2.45% 18.78% 15.02% 3.18% 5.47% 6.65% (15.98%)
USD Jan 14 14 Jun08. Wm/ 08
Anthony Clake.
MLIS - MARSHALL W. TOPS UCITS FUND (MKT NTRL) 31 Dec 07 D €1103M 121.09 02 Jun 0.17% 0.16% 7.58% 6.07% 3.46% 3.03% 4.49% (11.63%)
Marshall Wace LLP Jan 14 14 Jun08. Ocl 08
Ytd Avg. 2014
Discretionary/Japan 0.39%
EQUILIBRIA JAPAN FUND LTD IX USD 30 Apt 02 M $172M 237.37 23 May (0.59%) 0.25% 9.16% -3.55% -0.13% 7.42% 4.48% (7.20%)
James Pulslord. Sara Gardiner-Hill Apr 14 14 Jul 11 - Dec 12
EQUILIBRIA JAPAN FUND LTD 2X (USD) 30 Apt 09 M $342M 148.75 23 May (1.19%) 0.53% 19.7% -6.6% .0.5% 8.15% 8.10% (13.42%)
James Pulslord. Sara Gardiner-Hill Apr 14 14 Jul 11 - Dec 12
Ytd Avg. 2014
Discretionary/UK (1.83%)
ABSOLUTE INSIGHT UK EQUITY MKT NEUTRAL 31 Mar 08 D €1130M 1.21 05 Jun 0.21% (0.47%) 3.38% 3.49% 2.3% 3.06% 1.45% (1.82%)
FUND-CLASS B2P GBP Jan 14 14 Feb 14 - May 14
Andrew Cawker. lain Brown. Richard Howarth
SCHRODER CAZENOVE UK ABSOLUTE TARGET 30 Jun 08 D £247M 121.30 04 Jun 0.17% (3.18%) 10.09% 4.08% 11.24% 3.31% 5.32% (9.96%)
FUND- P2 GBP Dec 12 14 Sep 09 - Dec 10
Steven Cordell
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 45
Source - HSBC
EFTA00620007
Market Neutral
Inception Liquidity Asset Last NAV or Date MTD YID 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Equity Diversified
Yid Avg. 2014 (1.78%)
Ytd Avg. 2014
Equity Diversified/Asia (1.33%)
MACQUARIE ASIAN ALPHA FUND 30 Sep 05 M $1'680M 1,872.59 31 May 1.10% 1.45% 9.04% 4.41% 9.11% 9.54% 6.27% (14.05%)
Nick Bird May 14 14 Oct 07 - Apr 09
PAN ASIA OPPORTUNITIES FUND LTD CLASS B 31 Jul 10 M $1'075M 121.63 30 May (0.74%) (4.10%) 7.13% 2.92% 9.6% 5.24% 5.32% (4.70%)
Jeff Shen, Ryan Kim, Ryan LaFond, Jan Bratteberg May 14 14 Nov 13 - May 14
Ytd Avg. 2014
Equity Diversified/Europe (4.50%)
BLACKROCK EUROPEAN DIVERSIFIED EQUITY A.R.F 30 Sep 10 D f208M 117.83 04 Jun 0.34% (3.37%) 16A3% -0.35% 4.05% 3.69% 5.86% (13.12%)
- SHARE CLASS D Jan 14 14 Mar 11 -May12
Robert Fisher/Simon Weinberger
GAM TALENTUM ENHANCED EUROPE LONG/SHORT - 30 Nov 04 M f328M 242.34 31 May (0.01%) (4.69%) 15.83% 16.66% 2.91% 9.76% 9.11% (25.03%)
A- Mar14 14 Jun 08 - Apr 09
Gianmarco Mondani/ Roberto Cantaluppi/ Paolo
Longinotti
GLG EUROPEAN Ear( ALTERNATIVE FUND UCITS 30 Jun 11 D $1'484M 109.69 03 Jun 0.01% (5.44%) 7.23°,' 6.19% 1.87% 3.2t% 5.41% (8.27%)
AR CL I Apr 14 14 Feb 14 - May 14
Pierre Lagrange, Simon Savage. Darren Hodges
Ytd Avg. 2014
Equity Diversified/Global 5.50%
TWO SIGMA ABSOLUTE RETURN FUND LTD 31 Oct 11 M $668M 1.236.02 31 May 1.96% 5.50% 1125% 4.03% 1.23% 8.55% 5.00% (3.30%)
Two Sigma Advisers, LLC Apr 14 14 Jun 13 - Aug 13
Multi-Strategy
Ytd Avg. 2014 0.16%
Ytd Avg. 2014
Multi-Strategy/Asia (0.11%)
UM ASIA MULTI-STRATEGY FUND CLASS A 31 Dec 95 Q $1'325M 37.30 23 May 0.05% (0.11%) 5.63% 3.57% -0.23% 7.41% 5.72% (15.79%)
George W. Long Apr 14 14 Feb 08 - Nov 08
Ytd Avg. 2014
Multi-Strategy/Global 0.44%
HUDSON BAY INTERNATIONAL FUND LTD 31 May 06 Q $1'425M 237.53 31 May 0.16% 0.44% 7.9% 11.37% 4.31% II 41% 5.03% (3.92%)
Hudson Bay Capital Management LP Mar14 14 Nov 07 - Dec 07
Statistical Arbitrage
Ytd Avg. 2014 2.47%
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 46
Source HSBC
EFTA00620008
Market Neutral
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Statistical Arbitrage/Global 2.47%
A.R.T. INTERNATIONAL INVESTOR (BVI) Ltd 28 Feb 07 O $611M 224.15 31 May 1.89% 3.42% 4.91% 5.67% 7.88% 11.76% 7.86% (10.48%)
Aaron Sosnick Mar 14 14 Jul 07 - Aug 07
CAMPBELL GLOBAL ASSETS FUND LTD Class D 31 Dec 00 M $109M 1.094.49 30 May 0.91% (0.69%) -5.62% -10.1% 18.36% 7.94% 10.19% (22.98%)
Campbell & Company Mar 14 14 Feb 06 - Aug 07
GSA CAPITAL INTERNATIONAL FUND. LTD CLASS A 28 Feb 05 O $1210M 246.90 31 May 1.18% 4.69% 13.28% 3.64% 15.2% 10.26% 4.38% (11.91%)
Jonathan Hiscock Apr 14 14 Jun 08 - Sep 08
Systematic
Ytd Avg. 2014 (0.91%)
Ytd Avg. 2014
Systematic/Europe (3.29%)
BLACKROCK EOS CLASS B USD COMPOSITE 28 Feb 02 M $233M 1.399.97 29 May (0.93%) (3.29%) 20.08% 3.49% .3.11% 9.32% 8.63% (14.33%)
Robert Fisher. Simon Weinberger May 14 14 Jul 07 - Jen 08
Ytd Avg. 2014
Systematic/Global (0.32%)
BLACKROCK 32 CAPITAL MASTER FUND SPC. LTD 31 Jul 02 Y/ M $1'040M 2.046.29 30 May 0.88% (3.76%) 8.02% 9.41% 24.92% 6.23% 7.38% (25.15%)
(THE) - A/1 May 14 14 Jun 08 Sep 09
Railaele SaW and Ken Kroner
BLUEMATRIX FUND CLASS -A- USD 31 Oct 07 M $1'900M 152.02 30 Apr (0.73%) 2.67% 12.57% -2.49% -1.42% 6.65% 6.94% (9.96%)
Frank Fent°. Systematic Team Jan 14 14 April - Sep II
BRYN MAWR OFFSHORE LTD 31 Dec 95 O $108M 4.876.84 30 Apr 0.47% 0.12% -0.46% 6.61% 0.56% 9.02% 4.05% (4.11%)
Kenneth B. Gray. Jr. & Stephen L. Walsh Mar 14 14 Oct 99 - Dec 99
ROSEMONT OFFSHORE FUND LTD CLASS -A- 30 Apr 06 O $91M 1.856.24 30 Apr 0.38% (0.30%) -0.76% 6.58% 0.49% 8.03% 4.61% (3.63%)
SERIES 1 Mar 14 14 Aug 08 - Nov 08
Kenneth B. Gray. Jr. & Stephen L. Walsh
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 47
Source - HSBC
EFTA00620009
Merger Arbitrage
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdown
Merger-Arbitrage
Ytd Avg. 2014 2.18%
Ytd Avg. 2014
Merger-Arbitrage/Global 2.40%
LION FUND. LTD (THE) 31 Jan 96 M $176M 37.86 30 Apr 0.05% 0.64% -5.17% 2.36% 4.6% 7.48% 9.46% (34.07%)
Nick Walker Mar 14 14 Oct 07 . Feb O9
PAULSON ENHANCED LTD 30 Apr 01 S $2200M 1.139.19 30 Apr 0.69% 3.08% 33.11% 19.6% .21.55% 20.57% 15.92% (30.43%)
John Paulson Feb 13 14 April -Sept1
PAULSON INTERNATIONAL. LTD 30 Apr 96 M $1'495M 917.71 30 Apr 0.40% 2.25% 15.68% 9.07% -10.17% 12.57% 7.88% (15.52%)
John Paulson Feb 13 14 Maylt-SePll
TIG ARBITRAGE ENHANCED FUND 31 Dec 06 M $86M 220.42 30 Apr 1.60% 3.61% 13.34% 7.340/0 6.85% 11.38% 8.03% (10.97%)
Drew Figdor Apr 14 14 Oct 07 - Oct 08
Ytd Avg. 2014
Merger-Arbitrage/USA 1.34%
GABELLI ASSOCIATES LIMITED CLASS A 31 Aug 89 M $119M 608.85 30 May 0.75% 1.34% 3.12% 2.55% 3.03% 7.57% 3.24% (6.65%)
Mario Gabelli Dec 12 14 Oct 07 - Oc108
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 48
Source - HSBC
EFTA00620010
Multi-Strategy
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Credit
Ytd Avg. 2014 4.96%
Ytd Avg. 2014
Credit/Europe 5.14%
CHENAVARI MULTI STRATEGY CREDIT FUND - MS2 E 31 Jan 12 M $189M 135.29 30 Apr 1.25% 5.14% 20.57% 6.72% 14.40% 3.85% (0.45%)
Chenavati Investment Managers Feb 14 14 Jul 13 - Aug 13
Ytd Avg. 2014
Credit/Global 4.77%
CANYON BALANCED FUND LTD - CLASS A 31 May 04 0 $1'397M 3.532.59 30 Apr 0.39% 4.77% 19.99% 20.52% -4.57% 13.57% 10.26% (30.14%)
M.R. Julia & J.S. Friedman Apr 14 14 Oct 07 - Nov 08
Diversified
Ytd Avg. 2014 1.72%
Ytd Avg. 2014
Diversified/Asia 2.93%
PHALANX JAPAN AUSTRALASIA MULTI-STRATEGY 31 Mar 05 0 $115M 1.395.39 30 Apr (5.27%) (4.04%) 12.82% 11.48% 4.79% 33.65% 26.76% (30.13%)
FUND LTD Apr 14 14 Apr Oa - Mar 07
Christopher S. McGuire
SEGANTII ASIA-PACIFIC EQUITY MULTI•STRATEGY 30 Nov 07 M $611M 237.67 31 May 3.21% 9.91% -1.68% 4.61% 40.75% 14.24% 8.34% (10.16%)
FUND Mar 14 14 May13 -Mar 14
Simon Sadler & Kurt Ersoy
Ytd Avg. 2014
Diversified:Emerging 2.11%
SPINNAKER GLOBAL EMERGING MARKETS FUND, 30 Jun 99 0 $ I '333M 2.044.16 15 May (0.32%) 2.11% 3.37% 20.69% -9.31% 22.47% 11.59% (33.11%)
LTD Feb 14 14 May 08 - Feb 09
Bradley Wickens
Ytd Avg. 2014
Diversified/Global 1.69%
AHL DIMENSION USD SHARES CLASS B 30 Jun 06 M $70M 1.49 31 May 2.26% 3.26% 3.03% 3.02% -5.83% 5.15% 9.26% (10.62%)
Tim Wong. Nick Granger Feb 14 14 Dec 08 - Jan 10
ALLBLUE LIMITED 31 Aug 05 M $7'800M 202.07 31 May 1.37% 3.38% 1.53°,' 5.96% 1.87% 8.37% 4.63% (4.51%)
Michael Platt Apr 14 14 Jun 07 - Aug 07
ARROWGRASS MASTER FUND 31 Jan 08 0 f3'399M 163.63 30 May (0.60%) 1.54% 8.58% 5.6% 0.12% 8.09% 4.11% (3.99%)
Nick Niel?, Henry Kenner Apr 14 14 Apr11 -Sep 11
ATLAS ENHANCED FUND LTD 28 Feb 11 M $1'151M 132.74 30 Apr (2.80%) 2.98% 20.85% 12.61% -5.28% 9.35% 8.86% (13.44%)
Dmitry Balyasny Dec 13 14 Jul 11 -Apr I2
ATLAS GLOBAL INVESTMENTS LTD UNRESTRICTED 31 Dec 03 M $3100M 3,717.76 30 Apr (1.61%) 1.68% 12.94% 4.84% 4.76% 13.55% 8.53% (12.51%)
Dmitry Balyasny Mar 14 14 Jun 04 - Aug 04
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 49
Source HSBC
EFTA00620011
Multi-Strategy
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Diversified'Global 1.69%
BLACK DIAMOND. LTD - CLASS B (UNRESTRICTED) 31 Dec 95 O $112M 352.47 31 May 0.91% 3.38% 6.94% 10.27% -0.69% 7.08% 4.01% (1838%)
Clint D. Carlson Apr 14 14 Aug OS - Dec 08
BLACKROCK MULTI-STRATEGY FUND LTD - CLASS A 30 Apr 05 M $1'498M 1.508.90 30 Apr (1.04%) (1.44%) 7.04% 7.86% 2.43% 4.67% 5.43% (13.96%)
Matt McBrady Mar 14 14 Jun 08 - Dec 08
BLACKROCK CAPITAL STRUCTURE INVESTMENTS 31 Dec 08 M $413M 127.56 30 May (1.43%) (3.14%) 7.19% 3.74% 22.94% 4.60% 7.86% (7.83%)
FUND LTD May 14 14 Mar 09 - Apr 09
Chad Meuse. Benoy Thomas
BLUECREST CAPL INTL LTD A USD 30 Nov 00 O $11'000M 437.59 30 May 0.27% 1.04% -1.56% 5.82% 6.1% 11.55% 5.48% (4.83%)
Michael Platt Apr 14 14 May 03 - Aug 03
BOUSSARD & GAVAUDAN HOLDING LTD ordinary 31 Jan 07 D €573M 17.72 04 Jun 0.72% 6.17% 13.46% 9.45% -2.59% 6.92% 6.89% (20.69%)
shares Aug 13 14 May 07 - Sep 08
Emmanuel Gavaudan
BREVAN HOWARD MIS FUND. LTD - CL. ArLISD 29 Feb 08 M $4'332M 126.82 30 May 0.60% (1.61%) 0.91% 4.61% 5.2% 3.87% 4.57% (6.29%)
Alan Howard Apr 14 14 Feb 08 - Sep 08
BRUMMER MULTISTRATEGY 2XL. LTD - C - 30 Apr 09 M $502M 1.441.82 31 May 2.10% 0.10% 16.54% 3.55% 1.02% 7.46% 6.83% (6.56%)
Klaus Jantti. Patrik Brummer Jan 14 14 April - Nov t 1
BTG PACTUAL GLOBAL EQUITY OPPORTUNITIES FD 29 Feb 12 O $380M 113.68 30 May (2.50%) (334%) 8.74% 7.42% 5.45% 4.21% (5.34%)
-B-NINI Apr 14 14 Feb 14 - May 14
BTG Pactual Global Asset Management
COS DIRECTIONAL OPP. FEEDER FUND. Ltd — A NI 31 Jul 05 O $2603M 4.751.74 31 May 0.61% 2.15% 15.97% 35.87% -10.42% 19.28% 13.71% (24.58%)
USD May 14 14 April -Sepll
Michael Hintze
COS DIVERSIFIED FUND (SPC) LTD ALPHA CLASS B 28 Feb 07 O $775M 1.701.17 31 May 0.21% 1.27% 5.99% 11.4% -3.45% 7.59% 6.64% (14.78%)
USD May 14 14 Jun 08 - Dec 08
James Peattie 8 Peter Warren
DOUBLE BLACK DIAMOND LTD - SERIES A 31 Mar 98 O $3'346M 451.75 31 May 0.98% 3.51% 7.91% 12.04% -1.07% 9.77% 5.25% (17.93%)
(UNRESTRICTED) Apr 14 14 Aug 08 - Dec 08
Clint Carlson
GLG MARKET NEUTRAL FUND - CLASS Z USD 31 Dec 97 M $1'089M 964.18 30 May 0.42% 3.29% 10.3% 18.4% 0.78% 14.80% 14.62% (54.03%)
UNRESTRICTED Apr 14 14 Nov 07 - Dec 08
Steve Roth
HALCYON PARTNERS OFFSHORE FUND LTD 31 May 04 O $2600M 185.01 30 Apr (0.54%) 0.68% 7.4% 11.24% -5.91% 6.40% 5.50% (15.01%)
John M. Bader Dec 12 14 Oct 07 - Dec 08
HIGHBRIDGE CAPITAL CORPORATION CLASS 31 Aug 92 O /V $4'500M 91.197.90 31 May 0.74% 2.89% 6.5% 9.79% -5.11% 10.69% 6.98% (30.04%)
-A-Series N (Composite) Jun 13 14 Jun 08 - Nov 08
Mark Vanacore
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 50
Source - HSBC
EFTA00620012
Multi-Strategy
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Drversified,Global 1.69%
HUTCHIN HILL DIVERSIFIED ALPHA MASTER FUND 30 Jun 08 0 $2127 1.913.18 31 May 0.95% 7.44% 19.38% 11.06% -4.92% 11.58% 6.33% (7.63%)
LTD 15% Incentive Allocation Jun 14 14 Apr II - Feb 12
Neil Christ
JABCAP GLOBAL BALANCED FUND LTD CLASS DI NI 30 Apr 07 W $499M 230.47 31 May 4.10% 1.05% 47.8% 15.5% -27.33% 12.50% 14.96% (35.04%)
Philippe Jabre Apr 14 14 Apr 10 - Jun 12
JABCAP MULTI STRATEGY FUND LTD CLASS D/1 NI 31 Jan 07 M $538M 165.18 15 May 0.84% 1.87% 43.03% 11.8% -25.65% 7.13% 17.19% (40.20%)
Philippe Jabre Apr 14 14 Feb 08 - Jan 09
LINDEN INTERNATIONAL LTD 31 May 03 0 $565M 345.56 31 May 1.95% 12.42% 16% 4.11% -7.86% 11.92% 9.49% (24.60%)
Joe Wong Apr 14 14 Feb 08 - Dec 08
LMR FUND LTD 31 Jan 10 M $1'094M 218.35 23 May 0.95% 1.51% 10.04% 8.09% 38.69% 19.87% 10.35% (9.53%)
LMR Partners LLP. LMR Partners Limited Apr 14 14 Apr 10 - May 10
MAN GLG MULTI-STRATEGY FUND CLASS G 31 Dec 02 M $178M 102.66 30 May 0.38°4 (2.31%) 5.09% 4.98% -3.59% 4.56% 7.37% (30.54%)
Neil Mason and David Kingsley Apr 14 14 Oct 07 - Dec 08
MAN GLG MULTI-STRATEGY UCITS CLASS D 31 May 12 D $344 M 103.12 29 May 0.14% (3.09%) 4.73°.4. 1% 1.25% 3.36% (3.92%)
Neil Mason and David Kingsley Apr 14 14 Feb 14 - Apr 14
MILLENNIUM INTL LTD 31 Dec 89 0 $21730M 2.684.37 31 May 1.25% 3.44% 13.27% 6.32°4 8.39% 14.4D% 4.38% (7.24%)
Israel A Englander Mar 14 14 May 98 - Aug 98
PALOMA INTERNATIONAL LTD CLASS A 31 Dec 02 Y 1'072 M 265.63 30 Apr (0.03%) 1.32% 16.02% 8.43°4 -2.83% 9.00% 5.03% (6.83%)
Donald Sussman Mar 14 14 Jul 11 - Dec It
PINE RIVER FUND CLASS -BI - SHARES 31 May 02 0 $4'443M 3.603.63 30 May (0.59%) 1.35% 9.58% 21.75% 5.7% 11.27% 10.41% (29.16%)
Aaron Yeaty. James Clark May 14 14 Jun 08 - Dec 08
PLATINUM PARTNERS VALUE ARBITRAGE INT. FUND 31 Dec 02 0 $756M 6.772.59 30 Apr 0.22% 2.50% 10.47% 11.58°4 21.03% 18.38% 4.92% (4.44%)
LTD Apr 14 14 Aug 08 - Oct 08
Mark Nordlicht
OVT OFFSHORE LTD CLASS 1-NR 31 Oct 03 Yr 0 $2'459M 2.349.24 31 May 1.11% 0.23% 1.39% 14.69% 6.55% 8.40% 9.55% (40.35%)
Dan Gold Mar 14 14 Feb 08 - Dec 08
RENAISSANCE INSTITUTIONAL DIVERSIFIED ALPHA 28 Feb 12 M $1'373M 106.55 30 May (0.32%) 1.30% 6.53% -1.26% 2.85% 9.26% (8.76%)
FUND INTL. L.P.,A Apr 14 14 Mar 13 - Sep 13
Renaissance Technologies LLC
STRATUS FUND LIMITED CLASS B 30 Nov 03 M $200M 2.118.37 30 May 1.60% 2.36% 1.82% -2.89% 15.63% 7.41% 5.88% (10.52%)
Jean-Philippe Bouchaud. Philippe Jordan. Marc Potters. Apr 14 14 Feb 12 - Sep 13
Jacques Sauliere
TWO SIGMA HORIZON CAYMAN LTD 30 Apt 08 0 $296M 1.341.45 31 May 2.24% 3.38% 1.51% 9.29% -13.97% 4.94% 8.86% (17.85%)
Two Sigma Investments. LLC Mar 14 14 May It - Nov 1 1
VISIUM GLOBAL OFFSHORE FUND LTD 31 Mar 09 M $1$29M 309.20 31 May 1.84% (0.50%) 16.99% 19.52% 1.75% 24.40% 10.28% (7.80%)
Jacob Gottlieb Apr 14 14 Apr 10 - Jun 10
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 51
Source - HSBC
EFTA00620013
Multi-Strategy
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Ytd Avg. 2014
Diversified. Global 1.69%
WEISS MULTI•STRATEGY PARTNERS LLC 30 Sep 06 O $228M 179.16 31 May 0.65% (1.04%) 14.5% 1.75% .0.15% 7.90% 6.75% (17.75%)
Weiss Multi•Strategy Advisers.LLC Jun 14 14 Jun 08 - Dec 08
Ytd Avg. 2014
Diversified/Japan 0.08%
LIM JAPAN FUND 31 Oct 04 O $255M 198.93 23 May 0.46? 0.08% 11.39% 5.62% 2.73% 7.46% 5.80% (10.09%)
George Long Apr 14 14 Jun 08 - Feb 09
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 52
Source - HSBC
EFTA00620014
Volatility Arbitrage
Inception Liquidity Asset Last NAV or Date MTD YTD 2013 2012 2011 Ann. Return Ann. Vol Max
Dates Size Index Drawdownl
Arbitrage
Ytd Avg. 2014 (0.56%)
Ytd Avg. 2014
Arbitrage Global (0.56%)
BLUEMOUNTAIN EQUITY ALTERNATIVES FUND 28 Feb 06 O $782M 2.220.14 23 May 0.03% (0.04%) 7.56% 12.24% 7.67% 10.17% 6.67% (057%)
BlueMountain Capital Management Apr 14 14 Sep 08 Feb09
CASSIOPEIA FUND CLASS C 31 Jul 04 M $579M 223.54 30 May 0.13% (205%) 0.53% 24.85% 6.52% 11.31% 9.77% (15.42%)
Pierre de Saab & Main Dos Santos Apr 14 14 Mar 10 - Jun tO
LIONSCREST TAILPRO -US EQUITY FUND 31 Aug 08 M $122M 220.71 30 Apr (0.20%) (2.00%) -6.33% -5.48% 4.56% 15.00% 44.01% (14.45%)
lionscrest Capital Apr 14 14 Sep 11 - Apr 14
PIMCO MULTI-ASSET VOLATILITY FUND LTD 31 Jul 11 M r1'099M 131.46 30 Apr (0.21%) 2.64% -6.17% 13.41% 20.36% 10.46% 7.31% (8.64%)
Josh Thimons. Josh Davis. Matt Dorsten Mar 14 14 Oct 12 - Aug 13
1. Max Drawdown: Peak to trough.
Past performance is not a reliable indicator of future performance. HSBC Alternative Investment Group I 53
Source - HSBC
EFTA00620015
About This Document
This document is provided to you by HSBC Private Bank. a division of HSBC Bank USA. N.A. ('the Bank"). for informational purposes and is not a
recommendation. offer or solicitation to purchase or sell any product, security, commodity. currency or other instrument. This document does not consider
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The information contained in this document is derived from a variety of sources we believe to be reliable: however, we cannot guarantee its accuracy or
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transmission). inaccuracies, omissions, changes in market factors or conditions. or any other circumstances beyond our control. The information. analysis
and opinions contained herein constitute our present judgment. which is subject to change at any time without notice. The information contained herein is
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Where this document is distributed by HSBC Securities USA Inc. please note that alternative investments are generally intended
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EFTA00620016
About This Document
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.
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EFTA00620017