TERMS & CONDITIONS
This website does not constitute an offering of any security, product, service, or fund, including interests in Proteus Feeder Fund I, LLC, a Delaware limited liability company, or any other pooled investment vehicle (each, a “Fund”) managed and advised by Proteus, LLC, a Delaware limited liability company (“Proteus”), for which an offer can only be made to qualified investors through a Fund’s Confidential Offering Memorandum (the “Memorandum”) prepared by the Fund. The following is only a summary, does not purport to be complete, and is qualified in its entirety by the provisions of the Memorandum and the Fund’s Operating Agreement. As a result, this summary may not contain all of the information you may desire about the Fund or Proteus. This website is not an offer to sell or a solicitation to purchase securities in the Fund; rather it is intended to summarize only the general terms of Proteus and its service offering for informational purposes only. An offer or sale of the interests in a Fund can only take place upon the review of the Memorandum and the execution of a definitive subscription agreement. The purchase of interests in a Fund is suitable only for sophisticated investors for whom an investment in a Fund does not constitute a complete investment program and who fully understand and are willing to assume the risks involved in a Fund’s investment program. The interests of a Fund will not be registered under the laws of any jurisdiction, including the United States Securities Act of 1933, as amended, or the United States Investment Company Act of 1940, as amended, the laws of any state of the United States, or the laws of any foreign jurisdiction, and may not be offered or sold without compliance with applicable securities laws. Hedge funds (or funds of hedge funds) often engage in leveraging and other speculative investment practices that may increase the risk of investment loss; can be highly illiquid; are not required to provide periodic pricing or valuation information to investors (unless otherwise required by the Fund’s organizational documents); may involve complex tax structures and delays in distributing important tax information; are not subject to the same regulatory requirements as registered investment companies; and often charge high fees. An investor could lose all or substantially all of his, her, or its investment. Where securities are issued in a currency other than the investor’s currency of reference, changes in exchange rates may have an adverse effect on the value of the investment. Further, any number of conflicts of interest may exist in the context of the management and operation of any hedge fund. No securities commission or similar authority in the United States or Canada has reviewed this website or in any way passed upon its merits, and any representation to the contrary is an offense. Canadian investors may be subject to “hold periods” of indefinite duration pursuant to applicable securities laws.
No investment may be solicited, considered, affirmed, or completed unless pursuant to the Memorandum and the execution of a definitive subscription agreement. Such documentation will contain full details of the offering of a Fund’s interests and the Fund’s investment strategy. A Fund will not accept any funds from a potential investor solely as a result of a review of this website, and any unsolicited funds will be returned. You should assume that the information contained in this website is accurate only as of the date hereof. The delivery and use of this website is for informational purposes only and shall not be deemed an offer to sell Fund interests or a solicitation of an offer to buy Fund interests.
Reports may contain certain past performance and statistical data. This data is subject to change and is qualified in its entirety by reference to financial statements for each of the Funds referenced herein. Past performance is not an indicator of future results. Performance and statistical data presented herein has not been audited.
This website contains certain statements regarding Proteus, the Funds, and their future anticipated results, performance, and achievements. These “forward-looking” statements are based on the beliefs of, assumptions made by, and information available to Proteus. Where possible, this website uses words such as “may,” “will,” “believes,” “anticipates,” “intends,” “estimates,” “expects,” “plans,” and similar expressions to identify these forward-looking statements. Proteus and the Funds are subject to various substantial risks, uncertainties, and other factors that could cause their actual results, performance, and achievements to differ materially from those expressed in, or implied by, these statements.
For Further Information, Interested Parties May Contact:
Attention: Investor Relations
8900 Keystone Crossing, Suite 400
Indianapolis, Indiana 46240