Mason Capital Management provides investment management services to privately offered investment vehicles and may also provide investment management services to separately managed accounts. Mason manages three private fund structures. The Funds are managed in accordance with their own investment and trading objectives, as described in their offering documents and governing agreements.
Mason Capital Management manages investments for private funds. The Investment Manager generally receives a management fee in advance from the Event Funds at the beginning of each quarter to cover the Event Funds’ respective operating expenses and for the investment advisory and administrative services that it provides to the Event Funds. Management fees range between 1% and 2% per year. Investors are generally subject to an incentive allocation/performance-based fee calculated on the performance of each Fund.