Puissance Capital Management provides investment management services to pooled investment vehicles (called Funds). Puissance seeks to achieve investment goals through research-intensive investment and risk-management processes, focusing on U.S. and Asian public companies and equity-linked securities. Puissance does not tailor its services to individual Fund investors or provide investors with the right to specify, restrict, or influence the Funds’ investment objectives or any investment or trading decisions. Puissance does not participate in wrap fee programs.
| Portfolio Value | Annual Fee |
|---|---|
| Any | 2.00% |
In addition to a management fee of 2.0%, Puissance charges performance-based compensation equal to 20% of the appreciation in the net asset value of each account during each year. Fee arrangements may be amended by agreement between Puissance and each client or investor.