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HONEYCOMB
ASSET MANAGEMENT
March 1, 2019
Dear Investor,
Preliminary estimated month-end performance for a representative investor of Honeycomb Master Fund
LP is set forth below with data as of February 28, 2019(al.
Please contact with any questions.
Class "A" Month-End Year To Date
..- Gross Return 5.8% 11.0%
...- Net Return 4.7% 8.8%
Class "B1" Month-End Year To Date
.- Gross Return 5.8% 11.1%
..- Net Return 5.0% 9.4%
(a) Please note that Honeycomb Master Fund LP includes all a substantially al investible assets from its feeder funds. Honeycomb Partners LP.
Honeycomb Intermediate Fund LP and Honeycomb Offshore Fund Ltd. However. investors are expected to invest at the feeder fund not at the master
fund level. The reflected returns assume a representative investor invested in Honeycomb Partners LP (the 'Fund" in each of (i) the Class A interests
that we subject to a management fee of 2% and incentive allocation of 20% per annuli and (ii) the Class 61 interests that are subject to a management
fee of 1.5% and an incentive allocation of 15% per annum. 'Net Return' reflects the performance of the Fund net of management fee. Fund expenses
and incentive allocation. 'Gross Return' reflects the performance of the Fund net of management fee and Fund expenses. but gross of incentive allocation.
Returns assume the reinvestment of al dividends. interest. income and profits. The management fee and Fund expense figures used for performance
calculations are prorated for the performance period. and incentive allocation calculations reflect an investment in the Fund since its June 1. 2016
eiception date. The reflected returns assume participation by the Class A and 61 representative investor in the Fund's 'new issue' investments and no
participation in the Funds side pocket investments. Individual results will vary (potentially considerably) depending on. among other things. investing at
the offshore feeder fund rather than the Fund level. new issue eligibility. participation ri side pocket investments. the timing of contributions/subscriptions
and withdrawalsfredempbons. different fee arrangements and any accumulated loss carry-forwards. This performance information is estimated and
Honeycomb Asset Management LP (the "Investment Manager) makes no representations as to the accurecy or completeness thereof. and such
nformation should not be relied upon for investment rented or other purposes. The performance information is based on unaudited information as of the
date hereof and is subject to change as actual performance for the relevant period is finakzed.
The information contained herein is confidential and circulation or disclosure of al or any part of such information is prohibited. This information is
provided for informational purposes only and neither constitutes an offer to sell nor a solicitation to invest in any fund managed by the Investment
Manager or its affikates. My such offering or solicitation vnll be made only by means of a confidential memorandum containing important information
about the terms of any potential inrestment in the relevant fund, ncluding risk factors. conflicts of interest, liquidity constraints. and other material
aspects about such funds. Past performance is not indicative of future results. The information contained hereon is not an advertisement. nor is it
mended for public use or diatnbUtion.
11451.1adsen Avenue. 16* Floor. New York. NV 10022
Confidential - Not for Cistribubon
EFTA00803473
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