KS

International, Inc.

Fund Investment Objectives

KS Management Corp. pursues a value oriented event-driven investment strategy. Over its 22-year track record, the firm has offered superior risk-adjusted returns seeking low volatility and low correlation to equity and bond markets. Employing a dual investment focus, the firm invests in both distressed situations, such as securities of companies experiencing financial or operating difficulties, and in risk arbitrage situations, where securities are subject to tender offers, merger agreements, recapitalizations and leveraged buyouts. The firm utilizes a disciplined bottom-up investment process, allocating opportunistically between these two strategies, seeking investments with the highest risk-adjusted return potential.