Investment Strategy YTD 2013 Return YTD 2012 Return May Gain April Gain Standard Deviation of Returns May %Positive Return May %Negative Return # Funds Reporting May
Capital structure arbitrage 3.002%    5.160%       0.730%          0%     0%     0       Analytics
Closed end fund arbitrage 5.177%    5.900%    1.000%   0.257%   1.160%       100.000%     0.000%     2       Analytics
Convertible arbitrage 4.883%    14.778%    1.233%   1.122%   1.905%       71.429%     28.571%     7       Analytics
Credit spread arbitrage 0.000%                     0%     0%     0       Analytics
Fixed income arbitrage 3.116%    9.532%    0.371%   0.895%   1.137%       64.706%     35.294%     17       Analytics
Index arbitrage 0.000%                     0%     0%     0       Analytics
MBS arbitrage 0.000%                     0%     0%     0       Analytics
Multi-strategy arbitrage -0.488%    0.992%    0.789%   -2.334%   1.811%       78.261%     21.739%     23       Analytics
Options & derivatives arbitrage -2.234%    6.463%    -2.312%   -0.321%   6.864%       30.000%     70.000%     10       Analytics
Statistical arbitrage 2.182%    2.713%    -0.021%   0.189%   4.581%       55.556%     44.444%     9       Analytics
ALL Arbitrage strategies 1.372%    6.069%    0.173%    -0.538%    2.929%       64.706%   35.294%   68       Analytics


NOTE: Cogent Dynamic Averages are calculated as the aggregate unweighted performance histories of all component alternative investments currently registered in the CogentHedge database based on each entity's identified primary investment strategy. The charts, tables, performance and other information ("Information") shown are provided for informational purposes only and are not intended to be and do not constitute investment or tax advice nor an opinion or recommendation regarding the appropriateness of any investment. The Information is not intended to be and should not be relied or acted upon without consulting with and obtaining specific advice from your financial or tax advisor. The Information is based on data provided by the advisors to the Funds (each, an "Investment Manager"). CogentHedge (as defined in the Terms of Use) has not independently verified this data and does not represent it as accurate, timely or complete, nor does CogentHedge make any express or implied warranties regarding the Information. CogentHedge shall not be liable for any losses, costs, expenses or damages relating to the adequacy, accuracy, completeness, timeliness or validity of the Information or relating to any investment decision made based upon the Information. Performance is net of fees, unless otherwise indicated. Past performance is no guarantee of future returns, particularly with respect to short-term performance. No representation is made that any investor in a Fund will or is likely to achieve results comparable to those shown or will make any profit at all or will be able to avoid incurring substantial losses. Net asset value and return on an actual investment will fluctuate, and an investor may have a gain or loss upon disposition of his or her investment. Any descriptions involving investment process, portfolio characteristics, investment strategies, goals or risk management are provided for illustration purposes only, are not complete, will not apply in all situations, may not be fully indicative of any present or future investments and may be changed in the discretion of the Investment Manager. No representation is made that an Investment Manager's or a Fund's investment process, investment strategies, goals or risk management techniques will or are likely to be achieved or successful. The Funds may employ leverage. The more leverage used, the more likely a substantial change in value may occur, either up or down. An investment in any Fund involves risks, which are described in each Fund's offering materials and should be carefully reviewed. Hypothetical results, if any, are shown for illustration purposes only, do not reflect actual trading results, and should not be relied upon. Benchmarks and financial indices are shown for illustrative purposes only and are provided for the purpose of making general market data available as a point of reference only. No representation is made that any benchmark or index is an appropriate measure for comparison. The Information does not constitute an offer to sell, or a solicitation of an offer to buy, an interest in any Fund. No such offer or solicitation may be made prior to the delivery of a Fund's confidential offering materials. See "Important Information" tab for additional important information regarding the Funds.