Emerald Necklace Investments, LLC

Website Disclaimers:

 

GENERAL DISCLAIMER:

An investment in any strategy, including the strategy of Emerald Necklace Fund, LP (the “Fund”) described in this Site, involves a high degree of risk.  There is no guarantee that the investment objective of the Fund will be achieved.  Past performance of these strategies is not necessarily indicative of future results.  There is the possibility of loss and all investment involves risk including the loss of principal.  Securities of the Fund are not registered with any regulatory authority, are offered pursuant to exemptions from such registration, and are subject to significant restrictions.

 

The information in this Site was prepared by the Emerald Necklace Investments, LLC (the “General Partner”) and is believed by the General Partner to be reliable and has been obtained from public sources and third parties such as Interactive Brokers. The General Partner makes no representation as to the accuracy or completeness of such information. Opinions, estimates and projections in this Site constitute the current judgment of General Partner and are subject to change without notice.  Any projections, forecasts and estimates contained in this Site are necessarily speculative in nature and are based upon certain assumptions.  It can be expected that some or all of such assumptions will not materialize or will vary significantly from actual results.  This Site is not intended as a recommendation to purchase or sell any security.  The General Partner has no obligation to update, modify or amend this Site or to otherwise notify a reader thereof in the event that any matter stated herein, or any opinion, project on, forecast or estimate set forth herein, changes or subsequently becomes inaccurate.

 

INVESTMENT STRATEGY: The description herein of the approach of the General Partner and the targeted characteristics of its strategies and investments is based on current expectations and should not be considered definitive or a guarantee that the approaches, strategies, and investment portfolio will, in fact, possess these characteristics. In addition, the description herein of the Fund’s risk management strategies is based on current expectations and should not be considered definitive or a guarantee that such strategies will reduce all risk.  These descriptions are based on information available as of the date of preparation of this document, and the description may change over time.  Past performance of these strategies is not necessarily indicative of future results.  There is the possibility of loss and all investment involves risk including the loss of principal.

 

PERFORMANCE RESULTS: Performance results of the Fund are presented for information purposes only. No representation is being made that any investor or portfolio will or is likely to achieve profits or losses similar to those shown. The past performance returns are gross of all fees to the investor. The past performance results portrayed does not reflect the deduction of management fees and performance fees. The past performance results do not portray the deduction of brokerage or other commissions, and any other expenses that a client would have paid. The past performance results may not reflect the impact that material economic and market factors might have had on the results and the General Partner’s decision-making. Performance of individual investors may vary based upon differing management fee and incentive allocation arrangements, and the timing of contributions and withdrawals. Performance numbers were prepared by the General Partner, and have not been compiled, reviewed or audited by an independent accountant. Performance estimates are subject to future adjustment and revision. The information provided is historical and is not a guide to future performance. Investors should be aware that a loss of investment is possible. The Fund’s returns are inclusive of the reinvestment of dividends and other earnings by certain company sales during the period. The Fund’s returns are based on returns since inception and does not give effect to high water marks, if any. Returns may vary for investors who are restricted from participating in new issues. This Site cannot and does not guarantee or predict a similar outcome with respect to any future investment. The General Partner makes no implications, warranties, promises, suggestions or guarantees whatsoever, in whole or in part, that by participating in any investment of or with the General Partner you will experience similar investment results and earn any money whatsoever.

 

FORWARD LOOKING STATEMENTS/PROJECTIONS: Any projections, forecasts and estimates contained in this document are necessarily speculative in nature and are based upon certain assumptions. In addition, matters they describe are subject to known (and unknown) risks, uncertainties and other unpredictable factors, many of which are beyond the Fund’s control.  No representations or warranties are made as to the accuracy of such forward-looking statements. It can be expected that some or all of such forward-looking assumptions will not materialize or will vary significantly from actual results.  Accordingly, any projections are only estimates and actual results will differ and may vary substantially from the projections or estimates shown.

 

FUND TERMS AND CONDITIONS: The summary provided herein of the Fund’s terms and conditions does not purport to be complete.  The Fund’s Offering Documents should be read in its entirety prior to an investment in the Fund.

 

GRAPHS/CHARTS: The graphs, charts and other visual aids are provided for informational purposes only.  None of these graphs, charts or visual aids can and of themselves be used to make investment decisions. No representation is made that these will assist any person in making investment decisions and no graph, chart or other visual aid can capture all factors and variables required in making such decisions.

 

INDICES COMPARISONS: References to market or composite indices, benchmarks, or other measures of relative market performance over a specified period of time are provided for information only. Reference or comparison to an index does not imply that the Fund’s portfolio will be constructed in the same way as the index or achieve returns, volatility, or other results similar to the index. Indices are unmanaged, include the reinvestment of dividends and do not reflect transaction costs or any performance fees.  Unlike indices, the Fund will be actively managed and may include substantially fewer and different securities than those comprising each index.  Results for the Fund as compared to the performance of the Standard & Poor’s 500 Index (the “S&P 500”) are for informational purposes only.  The S&P 500 is an unmanaged market capitalization-weighted index of 500 common stocks chosen for market size, liquidity, and industry group representation to represent U.S. equity performance.  The investment program does not mirror this index and the volatility may be materially different than the volatility of the S&P 500.