This site is only for use by accredited, professional and/or qualified investors only (as defined in the jurisdiction of the user) and in using this site the user represents and warrants that they are an accredited, professional and/or qualified investor (as defined in the jurisdiction of the user) and will use this site for their own information purposes only.
BitBull Capital GP, LLC (“GP”) and BitBull Capital Management, LLC (“IM”) are, respectively, the general partner and investment manager of funds including the BitBull Fund and BitBull Opportunistic Fund (collectively, “BitBull”). The GP and IM are not registered investment advisers with the Securities and Exchange Commission or any state’s securities commission. The limited partnership interests (the “Interests”) in the Fund are offered under a separate confidential private placement memorandum (the “Private Placement Memorandum”), have not been registered under the Securities Act of 1933, as amended (the “Securities Act”), or any state securities laws, and are sold for investment only pursuant to an exemption from registration with the SEC and in compliance with any applicable state or other securities laws. Interests are subject to restrictions on transferability and resale and may not be transferred or resold except as permitted under the Securities Act and applicable state securities laws. Investors should be aware that they could be required to bear the financial risks of this investment for an indefinite period of time. PAST PERFORMANCE DOES NOT GUARANTEE FUTURE RESULTS. Certain information contained on this site may constitute “forward-looking statements” which can be identified by use of forward-looking terminology such as “may,” “will,” “target,” “should,” “expect,” “attempt,” “anticipate,” “project,” “estimate,” “intend,” “seek,” “continue,” or “believe” or the negatives thereof or other variations thereon or comparable terminology. Due to the various risks and uncertainties, actual events or results in the actual performance of the Fund may differ materially from those reflected or contemplated in such forward-looking statements. The GP is the source for all graphs and charts, unless otherwise noted.
No Advice on Investment; Risk of Loss
Prior to making any investment decision in respect of the Fund, each investor must undertake its own independent examination and investigation of the Fund, including the merits and risks involved in an investment in the Interests, and must base its investment decision – including a determination whether Interests would be a suitable investment for the investor – on such examination and investigation and must not rely on the Manager or the Fund in making such investment decision. Prospective investors must not construe the contents of this Website as legal, tax, investment, or other advice. Each prospective investor is urged to consult with its own advisors with respect to legal, tax, regulatory, financial, accounting and similar consequences of investing in the Fund, the suitability of the investment for such investor and other relevant matters concerning an investment in the Fund. This Website contains an overview summary of the terms of the Fund. The summary set forth in this Website does not purport to be complete, and is qualified in its entirety by reference to the definitive offering documents relating to the Fund. Do not place undue reliance on this Website. No graph, chart, formula, or other device offered can, in and of itself, be used to determine which securities or assets to buy or sell or when to buy and sell assets or securities, and is not meant to assist any person in making investment decisions. We are not falsely promising to furnish reports or analysis free of charge to investors.
None of the Manager, the Fund, its affiliates, or any of their respective directors, officers, employees, agents, affiliates or advisers (collectively, the “Related Persons”) will, to the maximum extent permitted by law, be responsible or liable for this Website (or the information contained in it), and none of the Related Persons makes any warranties or representations, express or implied, as to the accuracy, suitability, fairness, completeness or otherwise of such information including where such information contains errors or misstatements. The recipient acknowledges that, to the maximum extent permitted by law, each Related Person excludes and disclaims all liability to the recipient or to any other person for any expense, cost, loss or damage of any kind including direct, indirect or consequential loss or damage incurred by any person arising from or relating to any information included or omitted from this Website, whether by reason of such information being inaccurate or incomplete or for any other reason.
Information May Change and Be Inaccurate, Incomplete or Outdated
The information on this Website is for discussion purposes only and no representations or warranties are given or implied. The information contained on this Website is subject to further discussion, completion and amendment. All of the information presented herein is subject to change without notice. This Website may be updated to provide additional information on the Funds and their methodology. Any use of this Website is on an “as is” and “as available” basis and is at the user’s sole risk.
Certain information contained in this Website may have been obtained from sources prepared by other parties, which in certain cases may not have been updated through the date hereof. While such information is believed to be reliable for the purpose used on this Website, none of the Manager, the Fund or any of its Related Persons makes any representation or warranty (express or implied), nor shall they have any responsibility or liability in respect of any information contained on this Website or for its accuracy, adequacy, timeliness or completeness, and no representation is made or is to be implied that the information will remain unchanged. The Manager is under no obligation to update the material on this Website.
This Website does not contain all the information necessary to fully evaluate any transaction or investment, and no investor should rely on the contents of this Website. Any investment decision should be made based solely upon appropriate due diligence and, if applicable, upon receipt and careful review of any definitive offering documents, identified as such, in respect of the Fund.
The Fund is the exclusive property of the Manager and the Manager retains all proprietary rights therein. Any user of this Website agrees to not, and will not assist any third party to, assert any rights in the Fund or any component thereof or challenge the Manager’s rights therein.
The trademarks and service marks used on this Website (collectively, the “Marks”) are trademarks (whether registered or unregistered) and/or service marks owned by the Manager or by third party licensors. Nothing contained on this Website should be construed as granting any license or right to use any of the Marks for any purpose whatsoever without the written permission or applicable license terms of the lawful owner. Unauthorized use of the Marks or any information is strictly prohibited and may violate trademark, copyright or other applicable laws.
The business and investment history of the management team of the Manager and other background information presented on this Website is not comprehensive. In particular, the information set forth on this website should not be interpreted as an exhaustive presentation of businesses with which the senior executives of the Fund have been involved, their professional and other accomplishments, or their business experience. Additional information is available upon request.
Performance information is provided for informational purposes only. Past performance of the management team is not necessarily indicative of future results, and there can be no assurance that any projections, targets or estimates of future performance will be realized. Actual performance of the Fund may vary substantially from the performance provided on this Website. An investor may lose all or a substantial part of its investment in the Fund. Careful consideration should be given to any performance data provided herein. Fund returns are calculated net of expenses. Investments are subject to fees that includes the management fee, custody charges for holding the fund’s assets charged by the custodian, and customary fees and expenses of the fund administrator and auditor.
The performance of the Fund will be reduced by any and all applicable fees or expenses charged to and by the Fund, which could be more than the fees and expenses incurred with respect to investments held by the Manager. Performance returns of the Fund may be materially less than that of the Manager.
The historical performance of any single crypto asset, such as Bitcoin, or a Crypto Index, is not illustrative of the performance of the Fund. The returns of Bitcoin and Crypto Indices are historical and unaudited and do not represent the returns of an actual account. These historical returns do not include the fees and expenses that are charged by any Fund. Actual Fund returns may differ materially from the historical returns of any single crypto asset, such as Bitcoin, or a crypto index. Actual returns from live portfolios will differ materially from the historical, unaudited Bitcoin returns. Historical returns do not reflect the macroeconomic risks of using an investment strategy in a different time period or the financial risk of executing trades in a live portfolio which include the potential market impact on cryptocurrency prices caused by buying or selling that could cause price impact. The historical Bitcoin price performance does not include hypothetical investment fees associated with investing in a Fund investing in Bitcoin (including trading commissions, brokerage fees, management fees, or other fees). Those estimated fees have not been included in (by reducing) the historical performance. Although the information on this Fact Sheet provides some idea of the historic risks involved in investing in a portfolio investing in Bitcoin, past hypothetical performance is not a guarantee of future returns. Backward-looking performance cannot predict how any investment strategy will perform in the future. PAST PERFORMANCE DOES NOT GUARANTEE FUTURE RESULTS.
Projections or Forecasts
This Website may contain forward-looking statements that are based on BitBull’s experience and expectations about the markets in which the fund invests and operates. Forward-looking statements are sometimes indicated by words such as “anticipates,” “expects,” “believes,” “seeks,” “may,” “intends,” “plan,” “should,” “attempts,” “will,” “intended to,” “designed to,” “seeks to” or the negative of these terms or other similar expressions. Undue reliance should not be placed on such forward-looking statements as such statements speak only as of the date on which they are made. Forward-looking statements are not guarantees of future performance and are subject to many risks, uncertainties and assumptions that are difficult to predict. Actual results may differ, and such differences may be significant. Neither the fund nor BitBull Capital undertakes any obligation to revise or update any forward-looking statement for any reason, unless required by law. The forward-looking statements contained on this website are expressly qualified by this cautionary statement. The Manager does not undertake any obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise. The Manager does not guarantee the offering and events described on the Website will happen as described (or that they will happen at all).