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PROVINCE

Click on the link to be
taken to the relevant
provincial security site.

MINIMUM INVESTMENT WHEN RELYING ON ACCREDITED INVESTOR EXEMPTION (1)

MINIMUM INVESTMENT REQUIRED WHEN RELYING ON OFFERING MEMORANDUM EXEMPTION (2)

MINIMUM INVESTMENT EXEMPTION (3)

Alberta

$25,000

N/A

$150,000

British Columbia

$25,000

$25,000

$150,000

Manitoba

$25,000

N/A

$150,000

New Brunswick

$25,000

$25,000

$150,000

Newfoundland & Labrador

$25,000

$25,000

$150,000

Northwest Territories

$25,000

N/A

$150,000

Nova Scotia

$25,000

$25,000

$150,000

Nunavut

$25,000

N/A

$150,000

Ontario

$25,000

N/A

$150,000

P.E.I.

$25,000

N/A

$150,000

Quebec

$25,000

N/A

$150,000

Saskatchewan

$25,000

N/A

$150,000

Yukon

$25,000

N/A

$150,000

 

1. Accredited Investor Exemption:

There is no regulatory minimum purchase amount requirement for investments in a Fund made by investors who qualify under the Accredited Investor Exemption. However, the minimum initial purchase amount established by the Manager for "accredited investors" is $25,000 (or such lesser amount that the Manager may accept from time to time).
The criteria for qualification as an "accredited investor" is defined in National Instrument 45-106 of the Canadian Securities Administrators and is set out in the Subscription Instructions of the Investment Application.

2. Offering Memorandum Exemption:

(Only for residents of British Columbia, Nova Scotia, New Brunswick and Newfoundland and Labrador)

There is no regulatory minimum investment required for investments in a Fund made pursuant to the Offering Memorandum Exemption. However the Manager has established a minimum initial investment of $25,000. Please note that this is effective September 3, 2010.

Download the Risk Acknowledgement Form
.

3. Minimum Amount Exemption

The minimum amount for an initial investment in a Fund made by an investor purchasing under the Minimum Amount Exemption is $150,000 in each province and territory.

Disclaimer: Information about the Arrow Capital Management Funds is not to be construed as a public offering of securities in any jurisdiction of Canada. The offering of units of the Arrow Capital Management Funds is made pursuant to their respective offering memorandum only to those investors in jurisdictions of Canada who meet certain eligibility or minimum purchase requirements. Important information about the Arrow Capital Management Funds, including a statement of each fund's fundamental investment objective, is contained in their respective offering memorandum, a copy of which may be obtained from your dealer. Read the applicable offering memorandum carefully before investing. Unit values and investment returns will fluctuate.

 

 

Arrow Capital Management Funds are not guaranteed, their values change frequently and past performance may not be repeated.

™ Arrow, Arrow Capital and Arrow Capital Management are all trademarks of Arrow Capital Management Inc. Experience. Intelligent Investing. is a trademark of Arrow Capital Management Inc.

© All documents and information contained on this website are considered to be the copyright material of Arrow Capital Management Inc.

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Arrow Special Opportunities

An innovative hybrid of private equity and hedge funds

  • A fund of hybrid funds adds additional global and industry diversification benefits.
  • Hybrid funds exploit opportunities using a longer time horizon to invest in pre-public and special situations.

Investment Solutions

  • Arrow Portfolio Series
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    • Arrow Special Opportunities
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  • Principal Protected Notes
    • Arrow Multi-Strategy Note
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  • Closed End Funds
    • East Coast Investment Grade Income Fund
    • Raven Rock Strategic Income Fund

Commentaries

Click a file below to download a commentary for the Arrow Special Opportunities Fund

  • Quarter 1, 2013
  • Quarter 3, 2012
  • Quarter 1, 2012

  • Fund Overview
  • Investment Details

Fund Overview

Objective & Strategy:

A global, hybrid fund of funds that combines the benefits of both hedge funds and private equity. This concentrated fund of funds is designed to exploit specific market niches and strategies anywhere in the world that offer the best potential for high performance.

Fund Characteristics:

  • Bottom-up and opportunistic
  • Relatively concentrated (10-15 funds held when fully invested)
  • High levels of transparency

The Opportunity:

The Fund provides the opportunity to enhance performance over the medium term but requires a trade-off in liquidity. Arrow's deep investment networks have identified managers capable of exploiting these opportunities. Arrow's established infrastructure is ideally suited to providing a measure of risk management in the oversight of these types of structures.

Investment Details

 
Fund Code ‘A1’ Class
AHP890
Fund Code ‘B1’ Class AHP891
Fund Code ‘B2’ Class AHP892
Management Fee (A1 Class) 1%
Management Fee (B1 & B2 Class) 2% with a 10% performance fee over a 10% hurdle (subject to a high watermark).
Purchases Closed
Lock up period 42 months
Notification 95 calendar days required for redemptions.
Trade Date Quarterly
Auditor PriceWaterhouseCoopers
Administrator RBC Investor Services
Minimum Investment $100,000
^ Minimum Investment for accredited investors $25,000
^ Minimum Investment with a Risk Acknowledgement Form (For residents of BC, Newfoundland and Labrador, New Brunswick, and Nova Scotia), $25,000

Fund Facts & Investment Details

[Content Pending]

Arrow Insights

  • Monthly Commentary
  • Quarterly Commentary
  • Manager Updates

Client Resources

  • Fund Prices - Open End
  • Fund Prices - Closed End
  • Investment Documents
  • Funds at a Glance
  • Frequently Asked Questions

Contact Information

Client Services
RBC Investors Services
Tel: 416.955.5771
Toll-Free: 866.261.6134
Fax: 416.955.5771

Sales & Head Office
Tel: 416.323.0477
Toll-Free: 877.327.6048
Fax: 416.323.3199
For General Information:
info@arrow-capital.com

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