Performance for the Broad Index and its 10 sub-strategies is calculated monthly. September, October and year-to-date 2016 performance numbers are listed below and are available at www.hedgeindex.com.
Index
October 2016
September 2016
YTD 2016
Broad Index
-0.18%
0.12%
-0.08%
Convertible Arbitrage
0.07%
1.04%
6.23%
Dedicated Short Bias
3.99%
-1.06%
-15.10%
Emerging Markets
0.39%
0.57%
5.15%
Equity Market Neutral
-0.27%
0.62%
-2.25%
Event Driven
-0.08%
0.09%
0.33%
Distressed
1.13%
0.67%
3.87%
Risk Arbitrage
-0.58%
0.66%
4.48%
Event Driven Multi-Strategy
-0.56%
-0.15%
-1.06%
Fixed Income Arbitrage
0.42%
0.75%
2.82%
Global Macro
1.51%
0.11%
0.53%
Long/Short Equity
-0.93%
0.13%
-4.13%
Managed Futures
-4.17%
-1.72%
-5.38%
Multi-Strategy
0.10%
0.59%
3.32%
Changes to Index Composition
Funds Added
Funds Removed
FORT Global Contrarian LP
IPM Systematic Macro Fund
Moab Partners
PCJ Absolute Return
Pinpoint Multi-Strategy Fund
Perry Partners International
Additional information about the Credit Suisse Hedge Fund Indexes – including research, fund performance and constituent fund information – can be found at www.hedgeindex.com.
It is not possible to invest directly in an index. Investors pursuing a strategy similar to an index may experience higher or lower returns and will bear the cost of fees and expenses that will reduce returns.
Past performance is not a guarantee or indicator of future results.
Credit Suisse Asset Management, LLC is a subsidiary of Credit Suisse and is headquartered at 1 Madison Avenue, New York, NY 10010-3629.