Financial Highlights |
Financial highlights for the limited partner Classes as a whole for the three and six months ended June 30, 2025 and 2024 were as follows.
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Per Redeemable Unit Performance (for a unit outstanding throughout the period): * |
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Net realized and unrealized gains (losses) |
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$ |
(31.04) |
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$ |
(24.61) |
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$ |
(25.87) |
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$ |
(64.98) |
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$ |
(51.52) |
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$ |
(53.87) |
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$ |
58.07 |
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$ |
46.04 |
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$ |
48.39 |
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$ |
3.96 |
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$ |
3.02 |
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$ |
2.80 |
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Net investment income (loss) |
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(4.00) |
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(3.17) |
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0.84 |
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9.62 |
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7.63 |
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12.31 |
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(8.50) |
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(6.72) |
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1.30 |
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4.97 |
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4.07 |
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13.15 |
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Increase (decrease) for the period |
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(35.04) |
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(27.78) |
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(25.03) |
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(55.36) |
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(43.89) |
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(41.56) |
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49.57 |
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39.32 |
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49.69 |
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8.93 |
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7.09 |
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15.95 |
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Net asset value per Redeemable Unit,beginning of period |
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2,711.81 |
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2,150.38 |
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2,262.67 |
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2,794.92 |
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2,216.28 |
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2,314.47 |
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2,627.20 |
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2,083.28 |
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2,187.95 |
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2,730.63 |
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2,165.30 |
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2,256.96 |
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Net asset value per Redeemable Unit,end of period |
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$ |
2,676.77 |
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$ |
2,122.60 |
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$ |
2,237.64 |
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$ |
2,739.56 |
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$ |
2,172.39 |
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$ |
2,272.91 |
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$ |
2,676.77 |
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$ |
2,122.60 |
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$ |
2,237.64 |
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$ |
2,739.56 |
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$ |
2,172.39 |
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$ |
2,272.91 |
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Ratios to Average Limited Partners’ Capital: ** |
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Net investment income (loss) *** |
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(0.6) |
% |
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(0.6) |
% |
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0.2 |
% |
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1.0 |
% |
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1.0 |
% |
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1.7 |
% |
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(0.6) |
% |
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(0.6) |
% |
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0.1 |
% |
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0.7 |
% |
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0.7 |
% |
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1.5 |
% |
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4.4 |
% |
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4.3 |
% |
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3.6 |
% |
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3.9 |
% |
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3.9 |
% |
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3.2 |
% |
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4.5 |
% |
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4.4 |
% |
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3.7 |
% |
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3.8 |
% |
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3.8 |
% |
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3.1 |
% |
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% |
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% |
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% |
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(0.1) |
% |
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(0.1) |
% |
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(0.1) |
% |
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% |
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% |
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% |
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0.3 |
% |
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0.3 |
% |
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0.3 |
% |
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4.4 |
% |
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4.3 |
% |
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3.6 |
% |
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3.8 |
% |
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3.8 |
% |
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3.1 |
% |
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4.5 |
% |
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4.4 |
% |
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3.7 |
% |
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4.1 |
% |
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4.1 |
% |
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3.4 |
% |
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Total return before incentive fees |
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(1.3) |
% |
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(1.3) |
% |
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(1.1) |
% |
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(2.1) |
% |
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(2.1) |
% |
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(1.9) |
% |
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1.9 |
% |
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1.9 |
% |
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2.3 |
% |
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0.6 |
% |
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0.6 |
% |
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1.0 |
% |
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% |
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% |
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% |
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0.1 |
% |
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0.1 |
% |
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0.1 |
% |
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% |
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% |
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% |
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(0.3) |
% |
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(0.3) |
% |
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(0.3) |
% |
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Total return after incentive fees |
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(1.3) |
% |
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(1.3) |
% |
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(1.1) |
% |
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(2.0) |
% |
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(2.0) |
% |
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(1.8) |
% |
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1.9 |
% |
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1.9 |
% |
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2.3 |
% |
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0.3 |
% |
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0.3 |
% |
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0.7 |
% |
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| * Net investment income (loss) per Redeemable Unit is calculated by dividing the interest income less total expenses by the average number of Redeemable Units outstanding during the period. The net realized and unrealized gains (losses) per Redeemable Unit is a balancing amount necessary to reconcile the change in net asset value per Redeemable Unit with the other per unit information. ** Annualized (except for incentive fees). *** Interest income less total expenses. The above ratios and total return may vary for individual investors based on the timing of capital transactions during the period. Additionally, these ratios are calculated for the limited partner Classes using the limited partners’ share of income, expenses and average partners’ capital of the Partnership and include the income and expenses allocated from the Funds.
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