The McBean Group Ltd., (TMGL) manages ten hedge funds developed to provide their investors consistent stable returns. All TMGL funds target a ROI of 12% to 14% annually and since 2009 have achieved better than the targeted ROI. TMGL funds are a tight investment strategy of combining a proven track record of currency trading with proven management teams in real estate development and oil and gas operations. All funds hold a first position on the assets in both the real estate developments and oil and gas assets.

The funds combine an interest rate and a profit share position on the real estate developments projects or the oil and gas operations, an interest rate and an ongoing Gross-Over-Riding-Royalty (GORR). TMGL funds allow for up to 50% of the assets under management to be used on the underlying real estate development projects or the oil and gas projects.

All of the TMGL managed funds have solid hard assets backing the loan and profit share portion of the investment. On the currency trading side of the investment TMGL only trades top tear currency pairs using their proprietary automated Expect Advisor (EA). TMGL’s automated currency trading EA holds to a maximum draw down between 5% to 12% with stop loss positioned at no more that 12%. TMGL’s EA has 4 trading modules that trade for profit while at the same time running 7 risk management modules. TMGL takes very seriously risk management in all their investments.

TMGL Past Performance:

Past performance is no guarantee of future results. TMGL’s returns quoted below represent un-audited past performance of the portfolios of other clients after the deduction of fees and expenses. Future performance may be lower or higher than the performance data quoted.

THIS IS NOT AN OFFERING OR THE SOLICITATION OF AN OFFER TO PURCHASE AN INTEREST IN THE MCBEAN GROUP LTD (the “Company”). ANY SUCH OFFER OR SOLICITATION WILL ONLY BE MADE TO QUALIFIED INVESTORS BY MEANS OF A PRIVATE PLACEMENT MEMORANDUM AND ONLY IN THOSE JURISDICTIONS WHERE PERMITTED BY LAW.

AN INVESTMENT IN OUR PORTFOLIO FUNDS ARE SPECULATIVE AND INVOLVES A HIGH DEGREE OF RISK. OPPORTUNITIES FOR WITHDRAWAL, REDEMPTION AND TRANSFERABILITY OF INTERESTS MAY BE RESTRICTED, SO INVESTORS MAY NOT HAVE ACCESS TO CAPITAL WHEN IT IS NEEDED. THERE IS NO SECONDARY MARKET FOR THE INTERESTS AND NONE IS EXPECTED TO DEVELOP.

THE FEES AND EXPENSES CHARGED IN CONNECTION WITH THIS INVESTMENT MAY BE HIGHER THAN THE FEES AND EXPENSES OF OTHER INVESTMENT ALTERNATIVES AND MAY OFFSET PROFITS. No assurance can be given that the investment objective will be achieved or that an investor will receive a return of all or part of his or her investment. Investment results may vary substantially over any given time period.

The performance data represents the performance of The McBean Group Ltd (“Company”). The results reflect the deduction of transaction fees and other expenses incurred by the Company. During the time period shown, the Fund used only those investment strategies disclosed in the Company’s Confidential Information Memorandum. Results are compared to the performance of the S&P 500 Index for informational purposes only. The Company’s investment program does not mirror the S&P 500 Index and the volatility of the Company’s investment program may be materially different. The performance figures include the reinvestment of any dividends and other earnings, as appropriate. All investments involve risk, including the loss of principal.

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnualized
2016-0.041.871.472.542.011.041.881.012.682.471.240.8920.77%
20150.521.392.873.651.471.06-0.212.651.933.971.340.7623.52%
20141.042.382.671.961.030.033.261.680.693.841.860.4922.97%
20134.100.881.474.631.031.891.891.500.963.68-0.390.7724.71%
20122.120.760.754.501.081.423.361.350.882.160.670.3221.09%
20113.791.101.713.681.601.163.791.541.173.201.331.1628.28%