The Jemekk Hedge Fund seeks to provide long-term capital growth by investing primarily in Canadian and U.S. equities, and may focus its assets in specific industry sectors and asset classes based on analysis of business cycles, industry sectors and market outlook. The fund will seek growth through strategic selection and trading of long and short positions in equity, debt and derivative securities.


Jemekk Hedge Fund May 2026

Jemekk Hedge Fund Commentary Q1 2026

 


Fund Pricing (As at 05/31/2026)

Class F $28.8170

Last Month End

$28.3157

% Change

+1.77%

Class B  $22.5490

Last Month End

$22.1702

% Change

+1.71%

Return Highlights

Compound Annualized Returns

8.61%

Average Monthly Return

0.80%

Cumulative Return Since Inception

817.38%

Total Positive/Negative Months

201/121

Statistical Analysis

Percentage of Months Beat Benchmark When Positive 40%

Percentage of Months Beat Benchmark When Negative

58%

Annual Standard Deviation

16.23%

Sharpe Ratio (0.5%)

0.56

Sortino Ratio (MAR=0%)

0.97

Fund Returns vs Benchmarks (%)

1yr 3yr 5yr 10yr *CAGR
Jemekk Hedge Fund 16.94 13.25 6.27 4.18 8.61
S&P TSX 36.06 24.64 15.30 12.77 8.92

* CAGR (compound annual growth rate) is the annualized return rate since inception; all fund returns are net of fees.