Oakcliff Partners manages investments for two private funds, Oakcliff Capital Partners, LP and Oakcliff Offshore Partners LP. These funds are only available to accredited investors. Oakcliff Partners aims to maximize returns while minimizing the risk of losing money. The firm invests in publicly-traded securities and has the authority to make investment decisions for the funds.
Oakcliff Partners manages investments for private funds and charges an annual management fee of 1% of the fund's net asset value, paid quarterly in advance. The General Partner is also entitled to a performance-based incentive allocation of 20% subject to a 6% hurdle.