Yaupon Capital Management LP is an investment advisor that manages investment portfolios for private funds. These funds are intended for sophisticated investors and focus primarily on the energy sector. Yaupon employs various investment strategies across different asset classes. The funds are managed according to the investment objectives and strategies outlined in each Fund’s governing documents and are generally not tailored to any particular private Investor in the Funds.
Yaupon Capital Management manages private funds and charges a quarterly management fee based on the fund's net assets. The management fees range from 1.25% to 2% annually. The Investment Manager may waive or modify the Management Fee for Investors, including, without limitation, those Investors that are members, principals, employees or affiliates of the Investment Manager or the General Partner, relatives of such persons, and for certain large or strategic Investors.