Filed Pursuant to Rule 424(b)(3)
Registration No. 333-184998
SUPERFUND GREEN, L.P. – SERIES A AND SERIES B SUPPLEMENT
DATED JULY 15, 2013 TO PROSPECTUS DATED MAY 1, 2013
JUNE 2013 PERFORMANCE UPDATE
June 2013 | Year to Date | Total NAV 06/30/2013 | NAV per Unit 06/30/2013 | |||||||||||||
Series A | -1.12 | % | 9.43 | % | $ | 15,842,800 | $ | 1,237.07 | ||||||||
Series B | -2.46 | % | 13.06 | % | $ | 17,271,357 | $ | 1,287.96 |
* All performance is reported net of fees and expenses
PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS
SUPERFUND GREEN, L.P. – SERIES A
JUNE 2013 ACCOUNT STATEMENT
(Prepared from Books without Audit for the Month ended June 30, 2013)
STATEMENT OF INCOME | ||||
JUNE 2013 | ||||
Investment income,interest | $ | (163 | ) | |
Expenses | ||||
Management fee | 24,568 | |||
Ongoing offering expenses | 13,280 | |||
Operating expenses | 1,992 | |||
Selling Commissions | 53,119 | |||
Other expenses | 306 | |||
Incentive fee | — | |||
Brokerage commissions | 20,095 | |||
Total expenses | 113,359 | |||
Net investment gain (loss) | (113,522 | ) | ||
Realized and unrealized gain (loss) on investments | ||||
Net realized gain (loss) on futures and forward contracts | (146,444 | ) | ||
Net change in unrealized appreciation (depreciation) on futures and forward contracts | 80,372 | |||
Net gain (loss) on investments | (66,073 | ) | ||
Net increase (decrease) in net assets from operations | $ | (179,595 | ) |
STATEMENT OF CHANGES IN NET ASSET VALUE | ||||
JUNE 2013 | ||||
Net assets, beginning of period | $ | 16,381,813 | ||
Net increase (decrease) in net assets from operations | (179,595 | ) | ||
Capital share transactions | ||||
Issuance of shares | 71,407 | |||
Redemption of shares | (430,825 | ) | ||
Net increase (decrease) in net assets from capital share transactions | (359,418 | ) | ||
Net increase (decrease) in net assets | (539,013 | ) | ||
Net assets, end of period | $ | 15,842,800 | ||
NAV Per Unit, end of period | $ | 1,237.07 |
SUPERFUND GREEN, L.P. – SERIES B
JUNE 2013 ACCOUNT STATEMENT
(Prepared from Books without Audit for the Month ended June 30, 2013)
STATEMENT OF INCOME | ||||
JUNE 2013 | ||||
Investment income, interest | $ | (352 | ) | |
Expenses | ||||
Management fee | 26,783 | |||
Ongoing offering expenses | 14,477 | |||
Operating expenses | 2,172 | |||
Selling Commissions | 57,909 | |||
Other expenses | 465 | |||
Incentive fee | — | |||
Brokerage commissions | 34,422 | |||
Total expenses | 136,228 | |||
Net investment gain (loss) | (136,580 | ) | ||
Realized and unrealized gain (loss) on investments | ||||
Net realized gain (loss) on futures and forward contracts | (379,777 | ) | ||
Net change in unrealized appreciation (depreciation) on futures and forward contracts | 81,519 | |||
Net gain (loss) on investments | (298,258 | ) | ||
Net increase (decrease) in net assets from operations | $ | (434,839 | ) |
STATEMENT OF CHANGE IN NET ASSET VALUE | ||||
JUNE 2013 | ||||
Net assets, beginning of period | $ | 18,063,483 | ||
Net increase (decrease) in net assets from operations | (434,839 | ) | ||
Capital share transactions | ||||
Issuance of shares | 43,695 | |||
Redemption of shares | (400,982 | ) | ||
Net increase (decrease) in net assets from capital share transactions | (357,287 | ) | ||
Net increase (decrease) in net assets | (792,126 | ) | ||
Net assets, end of period | $ | 17,271,357 | ||
NAV Per Unit, end of period | $ | 1,287.96 |
TO THE BEST OF MY KNOWLEDGE AND BELIEF, THE INFORMATION CONTAINED HEREIN IS ACCURATE AND COMPLETE.
/s/ Nigel James | |
Nigel James, President | |
Superfund Capital Management, Inc. | |
General Partner | |
Superfund Green, L.P. |