📄 Extracted Text (645 words)
Boothbay Absolute Return Strategies LP Individual Account Statement
810 7TH Ave, Suite 615 PREPARCO MOM GOOKS WITHOUT AUDIT
New York, NY 10019
Investor No: 0033
Class:2F
Southern Financial, LLC
6100 Red Hook Quarter
St. Thomas 00802
Virgin Islands (U.S.)
Investor Statement for the Month Ended: December 31, 2016
MTD (USD) YTD (USD)
Beginning Balance 53.787,101.76 36.861.922.91
Additions 15.000.000.00
Redemptions (10.000.000.00) (10.000.000.00)
Net Income 121.376.45 2.046.555.30
Ending Balance 43,908,478.21 43,908,478.21
Rate of Return 0.23% 3.77%
FHpared b, NAV Corn :n: lAdminGuaton
Tors Am '1628 Ore 88te 401
C8kbrock 78O8:8. Illino0 60181 I USA
AV •
EFTA00598963
NAV Fund Administration Group
Important Disclosure Statement
This statement is being provided by NAV Consulting. Inc. solely for informational purposes. NAV Consulting. Inc. acts as Administrator
for the above referenced fund (the -Fund"). NAV Consulting, Inc.'s responsibilities are limited to those specifically enumerated in the
Services Agreement between the Fund and NAV Consulting. Inc. and they do not include. without limitation. any duties. responsibilities
or obligations, implied or otherwise- to the investors in the Fund. Neither NAV Consulting. Inc. nor any of its affiliates acts as a fiduciary
or trustee of the Fund or of any of its investors.
The information included on this statement is unaudited and subject to change without notice.
This statement is intended for the investor of the Fund named on this statement and not for any other party. No other person or entity
is entitled to rely upon the information contained in this statement. My use. distribution. modification, copying or disclosure by any
person other than the named addressee is strictly prohibited. If you are not the intended recipient. please destroy the statement in
your possession and notify the sender that you have received the statement in error.
In producing the information on this statement. NAV Consulting. Inc. relies on valuation and Fund expenses information. including
without limitation expenses directly and indirectly relating to the Investment Manager and its affiliates. received from various sources.
which may include pricing and data vendors, prime brokers. broker dealers. futures commission merchants. the Fund. the Fund's
manager. the manager andior the administrator of any fund or other investment vehicle in which the Fund invests its assets, and any
other source chosen either by the Fund or NAV Consulting. Inc. NAV Consulting. Inc. has not reviewed. independently valued. verified.
compared to other pricing sources or otherwise performed due diligence on said valuation and Fund expense information and
disclaims all responsibility with respect to the accuracy of the information (please refer to the Fund's Private Placement Memorandum
for a complete explanation of valuation and Fund expenses). NAV Consulting. Inc. does not hold any assets of the Fund in custody.
nor does it independently verify the existence of such assets. The values and balances shown on the statement may not reflect the
value that can be actually realized upon sale of the investment.
Please carefully review all information in this statement. including any values. quantities. instructions. share class. currencies. dates.
status information. pending order and contacts. Pending orders are subject to approval by the Fund or its manager. If you suspect
that any information may be incorrect or that changes are required. please immediately notify the Fund's manager or NAV Consulting.
Inc.
The information on this statement shall not be construed as an offer to sell or solicitation to purchase any securities of the Fund. Any
such offer or solicitation may be made solely through the Fund's offering memorandum. While this statement provide certain financial
information about the Fund. it is not intended and may not be used to induce or recommend the purchase or holding of securities in
the Fund.
This statement shall not be construed as tax. legal or investment advice.
Past performance is not necessarily indicative of future returns.
Prepared bl . NAVCon:00,3g. Inc. lAdrinalialon
I Lars Am Plaza Oze/t.0.ILle 403
Ca4frOCk Leers-4..134103 60181 I USA
IA AV
EFTA00598964
ℹ️ Document Details
SHA-256
13994da891f44899d9ab2494b821a31c436f6f5b6c7f6bb469bb23037ac9f2c0
Bates Number
EFTA00598963
Dataset
DataSet-9
Document Type
document
Pages
2
Comments 0