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PROVINCE

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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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Class A

We demand full transparency
of every fund we invest in.

Performance & Prices

  • Open Ended Funds
    • Class A
    • Class F
    • Special Opportunities Fund
    • Principal Protected Notes
    • Year-End Distribution
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Download Performance Page Class A "CAD" Download Performance Page Class A "USD"
  • Weekly
  • Monthly Summary
  • Detailed Monthly Performance by Fund

Weekly

Class "A" CAD*

As at May 10, 2013
Portfolio Series1
NAVPS
1 wk
YTD
Strategy Start Date
Arrow Diversified Fund2
10.7816
0.3%
0.9%
January 1, 2002
Global Series3
NAVPS
1 wk
YTD
Strategy Start Date
Enso Global Fund^
6.0389
0.0%
-5.4%
July 31, 2002
Garrison Hill Fund4
9.8379
2.4%
2.9%
January 1, 2011
Income Series3
NAVPS
1 wk
YTD
Strategy Start Date
Arrow High Yield Fund5
6.7519
0.3%
3.4%
January 1, 2002
COR U.S. Equity Income Fund6
2.2638
0.6%
3.0%
March 1, 2007
East Coast Investment Grade Fund⁷
9.3633
0.1%
1.8%
January 1, 2011
East Coast Investment Grade II Fund
9.4005
0.2%
0.4%
April 12, 2013
Raven Rock Income Fund8
10.1859
0.4%
3.4%
March 1, 2010
Raven Rock Income II Fund
13.0956
0.6%
0.7%
April 12, 2013
North American Series3
NAVPS
1 wk
YTD
Strategy Start Date
ACT II Long/Short Fund
12.1025
1.0%
2.0%
January 1, 2008
Curvature Market Neutral Fund9
11.9704
-0.4%
2.6%
August 1, 2009
Goodwood Value Fund
7.684
0.8%
-1.7%
June 29, 2001
SG US Market Neutral Fund10
11.7375
-0.3%
0.8%
January 1, 2007
SaveCancel
* Returns for one year or less are the simple rates of return for the indicated periods. Returns for greater than one year are the compound rates of return. Fund values will fluctuate. Please refer to the Offering Memorandum of the Funds. All indices are in Canadian dollars, unless otherwise denoted.

^ All performance data as of March 28, 2013

1 NAVPS and performance returns on a percentage basis are net of all fees.

2 The Arrow Diversified Fund was formerly called the Arrow Multi-Strategy Fund.

3 NAVPS are gross of performance fees.

4 From January 1, 2011 to December 31, 2011 returns are for the Arrow GH Multi- Strategy Fund (Class X), and are adjusted to reflect Class A fees.

5 The Fund was initially advised by Milford Capital Management Inc. until the advisor was replaced in August 2004 by Marret Asset Management. Raven Rock Capital replaced Marret Asset Management mid-February 2012.

6 The COR U.S. Equity Income Fund was formerly called the Arrow US Equity Income Fund.

7 Fund closed for new purchases.

8 Fund closed for new purchases. From March 1 2010 to August 31 2011 returns are for the Arrow RR fund (Class X), and are adjusted to reflect Class A fees.

9 From August 1, 2009 to April 30, 2010, returns are for the Arrow C Multi-Strategy Fund (Class X), are adjusted to reflect Class A fees. In May 2010 the trust for Curvature Market Neutral Fund was created and the assets from the Arrow C Multi-Strategy Fund were transferred to the new trust. Both funds are managed with the same investment mandate by CHS Asset Management.

10 The Fund was originally advised by Tetra Capital Management until the advisor was replaced in December 2010 by SG Capital Management. The Fund was formerly called the Tetra U.S. Long/Short Fund.

Class "A" USD*

As at May 10, 2013
Portfolio Series USD1
NAVPS
1 wk
YTD
Strategy Start Date
Arrow Diversified Fund2
7.9191
0.3%
0.8%
January 1, 2002
Global Series USD³
NAVPS
1 wk
YTD
Strategy Start Date
Enso Global Fund^
2.7298
0.0%
-5.7%
July 31, 2002
Garrison Hill Fund4
9.7606
2.7%
3.0%
January 1, 2011
Income Series USD³
NAVPS
1 wk
YTD
Strategy Start Date
Arrow High Yield Fund5
8.866
0.3%
3.1%
April 1, 2007
COR U.S. Equity Income Fund6
2.7128
0.6%
2.7%
April 1, 2007
East Coast Investment Grade Fund7
9.3197
0.1%
1.5%
January 1, 2011
East Coast Investment Grade II Fund
9.4000
0.4%
0.0%
April 12, 2013
Raven Rock Income Fund8
10.0046
0.4%
3.2%
September 1, 2011
Raven Rock Income II Fund
13.0000
0.5%
0.0%
April 12, 2013
North American Series USD³
NAVPS
1 wk
YTD
Strategy Start Date
ACT II Long/Short Fund
9.2191
1.2%
2.3%
January 1, 2008
SG US Market Neutral Fund9
10.5404
-0.3%
0.6%
January 1, 2007
SaveCancel

 

* Returns for one year or less are the simple rates of return for the indicated periods.  Returns for greater than one year are the compound rates of return. Fund values will fluctuate. Please refer to the Offering Memorandum of the Funds. All indices are in Canadian dollars, unless otherwise denoted.

^ All performance data as of March 28, 2013

1 NAVPS and performance returns on a percentage basis are net of all fees.

2 The Arrow Diversified Fund was formerly called the Arrow Multi-Strategy Fund.

3 NAVPS are gross of performance fees. 

4 From January 1, 2011 to December 31, 2011 returns are for the Arrow GH Multi- Strategy Fund (Class X), and are adjusted to reflect Class A fees.

5 The Fund was initially advised by Milford Capital Management Inc. until the advisor was replaced in August 2004 by Marret Asset Management. Raven Rock Capital replaced Marret Asset Management mid-February 2012.

6 The COR U.S. Equity Income Fund was formerly called the Arrow US Equity Income Fund.

7 Fund closed for new purchases.

8 Fund closed for new purchases.

9 The Fund was originally advised by Tetra Capital Management until the advisor was replaced in December 2010 by SG Capital Management. The Fund was formerly called the Tetra U.S. Long/Short Fund.

Monthly Summary

Class "A" Summary

As at April 30, 2013
Portfolio Series1
1 mo
3 mo
6 mo
1 yr
2 yr
3yr
4yr
5yr
Ann. ITD*
Inception
Arrow Diversified Fund2
-0.9%
-0.8%
0.8%
-0.3%
-4.6%
-1.6%
1.2%
-1.4%
2.1%
January 1, 2002
MSCI Total Return Net World (CAD)
2.1%
6.5%
15.4%
18.8%
8.6%
9.3%
11.0%
1.7%
Global Series3
1 mo
3 mo
6 mo
1 yr
2 yr
3yr
4yr
5yr
Ann. ITD*
Inception
Enso Global Fund^
-3.8%
-5.4%
-13.5%
-30.7%
-47.9%
-25.0%
-11.6%
-15.5%
-3.2%
July 31, 2002
MSCI Total Return Net World (CAD)
2.1%
6.5%
15.4%
18.8%
8.6%
9.3%
11.0%
1.7%
Garisson Hill Fund4
2.9%
0.9%
0.5%
-1.6%
-6.1%
-3.6%
January 1, 2011
HFRX Global Hedge Fund Index (CAD)
-0.4%
2.5%
5.8%
5.9%
1.4%
Income Series3
1 mo
3 mo
6 mo
1 yr
2 yr
3yr
4yr
5yr
Ann. ITD*
Inception
Arrow High Yield Fund5
1.0%
1.5%
4.1%
6.5%
2.1%
4.2%
8.8%
7.5%
5.4%
January 1, 2002
ML High Yield Master II (CAD)
1.9%
3.6%
7.6%
14.8%
9.9%
11.1%
18.3%
10.0%
COR U.S. Equity Income Fund6
0.5%
-0.4%
-4.0%
-6.1%
-1.7%
5.3%
6.8%
-5.7%
-7.7%
March 1, 2007
S&P 500 Total Return (CAD)
0.9%
7.9%
15.2%
19.0%
13.9%
12.5%
13.8%
5.1%
East Coast Investment Grade Fund7
0.2%
0.9%
2.2%
4.1%
1.2%
1.5%
January 1, 2011
DEX Corporate Bond Index
1.0%
2.8%
3.4%
7.4%
7.8%
East Coast Investment Grade II Fund
0.1%
0.1%
April 12, 2013
DEX Corporate Bond Index
1.0%
Raven Rock Income Fund8
1.3%
1.8%
3.6%
6.2%
5.1%
8.4%
9.7%
March 1, 2010
Barclays Aggregate Bond Index (CAD)
0.0%
2.3%
1.5%
5.6%
8.7%
5.3%
Raven Rock Income II Fund
0.6%
0.6%
April 12, 2013
Barclays Aggregate Bond Index (CAD)
0.0%
North American Series3
1 mo
3 mo
6 mo
1 yr
2 yr
3yr
4yr
5yr
Ann. ITD*
Inception
ACT II Long/Short Fund
-2.7%
-1.9%
-2.0%
0.8%
-3.5%
0.7%
2.4%
3.3%
3.3%
January 1, 2008
Nasdaq (CAD)
0.9%
6.7%
12.5%
11.3%
10.8%
10.3%
13.0%
6.6%
Curvature Market Neutral Fund9
0.3%
3.1%
2.5%
6.7%
6.7%
7.0%
6.2%
August 1, 2009
S&P/TSX (Toronto)
-2.3%
-1.8%
0.3%
1.3%
-5.5%
0.7%
Goodwood Value Fund
-1.1%
-2.8%
-4.7%
-4.0%
-6.9%
-8.6%
2.8%
-4.8%
0.2%
June 29, 2001
S&P/TSX (Toronto)
-2.3%
-1.8%
0.3%
1.3%
-5.5%
0.7%
7.5%
-2.2%
SG US Market Neutral Fund10
-0.2%
0.0%
2.9%
2.7%
4.1%
3.7%
1.8%
2.4%
3.9%
January 1, 2007
Russell 2000 (DRI) (CAD)
-1.4%
6.1%
17.3%
19.8%
9.3%
11.0%
14.6%
7.2%
SaveCancel
^All performance data as of March 31, 2013

* Returns for one year or less are the simple rates of return for the indicated periods. Returns for greater than one year are the compound rates of return. Fund values will fluctuate. Please refer to the Offering Memorandum of the Funds. All indices are in Canadian dollars, unless otherwise denoted.

1 NAVPS and performance returns on a percentage basis are net of all fees.

2 The Arrow Diversified Fund was formerly called the Arrow Multi-Strategy Fund.

3 NAVPS are gross of performance fees.

4 From January 1, 2011 to December 31, 2011 returns are for the Arrow GH Multi- Strategy Fund (Class X), and are adjusted to reflect Class A fees.

5 The Fund was initially advised by Milford Capital Management Inc. until the advisor was replaced in August 2004 by Marret Asset Management. Raven Rock Capital replaced Marret Asset Management mid-February 2012.

6 The COR U.S. Equity Income Fund was formerly called the Arrow US Equity Income Fund.

7 Fund closed for new purchases.

8 Fund closed for new purchases. From March 1 2010 to August 31 2011 returns are for the Arrow RR fund (Class X), and are adjusted to reflect Class A fees.

9 From August 1, 2009 to April 30, 2010, returns are for the Arrow C Multi-Strategy Fund (Class X), are adjusted to reflect Class A fees. In May 2010 the trust for Curvature Market Neutral Fund was created and the assets from the Arrow C Multi-Strategy Fund were transferred to the new trust. Both funds are managed with the same investment mandate by CHS Asset Management.

10 The Fund was originally advised by Tetra Capital Management until the advisor was replaced in December 2010 by SG Capital Management. The Fund was formerly called the Tetra U.S. Long/Short Fund.

Class "A" USD Summary

As at April 30, 2013
Portfolio Series USD1
1 mo
3 mo
6 mo
1 yr
2 yr
3yr
4yr
5yr
Ann. ITD*
Inception
Arrow Diversified Fund2
-0.9%
-0.9%
0.6%
-0.9%
-5.3%
-2.3%
0.6%
-1.9%
3.5%
January 1, 2002
MSCI Total Return Net World (USD)
3.1%
5.7%
14.7%
16.7%
5.5%
9.6%
15.9%
1.8%
Global Series USD3
1 mo
3 mo
6 mo
1 yr
2 yr
3yr
4yr
5yr
Ann. ITD*
Inception
Enso Global Fund^
-4.0%
-5.7%
-13.8%
-31.1%
-49.2%
May 1, 2011
MSCI Total Return Net World (USD)
3.1%
5.7%
14.7%
16.7%
Garrison Hill Fund4
2.8%
0.7%
0.1%
-2.5%
-6.7%
-4.0%
January 1, 2011
HFRX Global Hedge Fund Index (USD)
0.6%
1.8%
5.2%
4.0%
-1.5%
Income Series USD3
1 mo
3 mo
6 mo
1 yr
2 yr
3yr
4yr
5yr
Ann. ITD*
Inception
Arrow High Yield Fund5
1.0%
1.4%
3.8%
5.8%
1.4%
3.6%
8.4%
7.3%
5.9%
April 1, 2007
ML High Yield Master II (USD)
1.9%
3.4%
7.3%
14.0%
9.5%
10.8%
18.3%
10.8%
COR U.S. Equity Income Fund6
0.5%
-0.6%
-4.4%
-6.8%
-2.1%
5.1%
6.8%
-4.6%
-7.8%
April 1, 2007
S&P 500 Total Return (USD)
1.9%
7.2%
14.4%
16.9%
10.7%
12.8%
18.8%
5.2%
East Coast Investment Grade Fund7
0.1%
0.7%
1.9%
3.4%
0.5%
July 1, 2011
DEX Corporate Bond Index (USD)
1.0%
2.8%
3.4%
7.4%
East Coast Investment Grade II Fund
0.0%
0.0%
April 12, 2013
DEX Corporate Bond Index (USD)
1.0%
Raven Rock Income Fund7
1.3%
1.7%
3.3%
5.6%
7.1%
September 1, 2011
Barclays Aggregate Bond Index (USD)
1.0%
1.6%
0.9%
3.7%
Raven Rock Income II Fund
0.0%
0.0%
April 12, 2013
Barclays Aggregate Bond Index (USD)
1.0%
North American Series USD3
1 mo
3 mo
6 mo
1 yr
2 yr
3yr
4yr
5yr
Ann. ITD*
Inception
Act II Long/Short Fund
-3.2%
-2.3%
-2.6%
0.3%
-4.8%
-4.8%
May 1, 2011
Nasdaq Composite Index
1.9%
5.9%
11.8%
9.3%
7.6%
SG US Market Neutral Fund8
-0.2%
-0.1%
2.6%
2.1%
3.1%
3.1%
May 1, 2011
Russell 2000 (DRI) (USD)
-0.4%
5.4%
16.6%
17.7%
6.2%
SaveCancel

^All performance data as of March 31, 2013

* Returns for one year or less are the simple rates of return for the indicated periods.  Returns for greater than one year are the compound rates of return. Fund values will fluctuate. Please refer to the Offering Memorandum of the Funds. All indices are in Canadian dollars, unless otherwise denoted.

1 NAVPS and performance returns on a percentage basis are net of all fees.

2 The Arrow Diversified Fund was formerly called the Arrow Multi-Strategy Fund.

3 NAVPS are gross of performance fees. 

4 From January 1, 2011 to December 31, 2011 returns are for the Arrow GH Multi- Strategy Fund (Class X), and are adjusted to reflect Class A fees.

5 The Fund was initially advised by Milford Capital Management Inc. until the advisor was replaced in August 2004 by Marret Asset Management. Raven Rock Capital replaced Marret Asset Management mid-February 2012.

6 The COR U.S. Equity Income Fund was formerly called the Arrow US Equity Income Fund.

7 Fund closed for new purchases.

8 The Fund was originally advised by Tetra Capital Management until the advisor was replaced in December 2010 by SG Capital Management. The Fund was formerly called the Tetra U.S. Long/Short Fund.

Click on the specific fund below to view more detailed monthly performance.


Fund Download Fund Sell Sheets
Portfolio Series
Arrow Diversified Fund
View
Global Series
Enso Global Fund View
Garrison Hill Fund
View
Income Series
Arrow High Yield Fund View
COR US Equity Fund View
East Coast Investment Grade Fund View
Raven Rock Income Fund
View
 North American Series
ACT II Long/Short Fund View
Curvature Market Neutral Fund View
Goodwood Value Fund View
SG US Market Neutral Fund View

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Contact Information

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

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Tel: 416.323.0477
Toll-Free: 877.327.6048
Fax: 416.323.3199
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