BRX Global LP manages investment portfolios for private, pooled investment vehicles (funds). BRX does not tailor its advisory services to the individual needs of any particular investor. The firm's investment decisions are subject to each fund’s investment objectives and guidelines. BRX's investment objective is to generate attractive absolute returns over the long term while minimizing the risk of permanent capital loss, principally by investing in securities on a global basis.
BRX Global LP charges a quarterly asset-based investment management fee, calculated at a quarterly rate generally ranging from 0.25% (1% per year) to 0.375% (1.5% per year) of the net assets of the respective investor accounts. The management fee is generally not negotiable; however, the General Partner may waive or modify the management fee for certain investors.