Praxis Capital Management manages investments for a private fund, Praxis Opportunity Fund LLC, offered exclusively to accredited investors and qualified purchasers. The fund deploys various trading and investment strategies across global asset classes. Praxis does not tailor its services to individual fund investors, and investors cannot impose restrictions on investments.
Praxis Capital Management manages a private fund and charges the fund an annual management fee of 2% of the net asset value of each investor's capital account. Praxis also receives 30% of each investor's share of the fund's net profits or losses.