Filed Pursuant to Rule 424(b)(3)
Registration No. 333-184998
SUPERFUND GREEN, L.P. – SERIES A AND SERIES B SUPPLEMENT
DATED DECEMBER 20, 2013 TO PROSPECTUS DATED MAY 1, 2013
NOVEMBER 2013 PERFORMANCE UPDATE
November 2013 | Year to Date | Total NAV 11/30/2013 | NAV per Unit 11/30/2013 | |||||||||||||
Series A | 0.76 | % | 5.24 | % | $ | 13,483,654 | $ | 1,189.79 | ||||||||
Series B | 1.09 | % | 10.26 | % | $ | 15,308,245 | $ | 1,255.55 |
* All performance is reported net of fees and expenses
PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS
SUPERFUND GREEN, L.P. – SERIES A
NOVEMBER 2013 ACCOUNT STATEMENT
(Prepared from Books without Audit for the Month ended November 30, 2013)
STATEMENT OF INCOME | ||||
NOVEMBER 2013 | ||||
Investment income, interest | $ | (40 | ) | |
Expenses | ||||
Management fee | 20,909 | |||
Ongoing offering expenses | 11,302 | |||
Operating expenses | 1,695 | |||
Selling Commissions | 45,209 | |||
Other expenses | 272 | |||
Incentive fee | — | |||
Brokerage commissions | 20,124 | |||
Total expenses | 99,511 | |||
Net investment gain (loss) | (99,552 | ) | ||
Realized and unrealized gain (loss) on investments | ||||
Net realized gain (loss) on futures and forward contracts | 347,773 | |||
Net change in unrealized appreciation (depreciation) on futures and forward contracts | (146,016 | ) | ||
Net gain (loss) on investments | 201,756 | |||
Net increase (decrease) in net assets from operations | $ | 102,205 |
STATEMENT OF CHANGES IN NET ASSET VALUE | ||||
NOVEMBER 2013 | ||||
Net assets, beginning of period | $ | 13,950,875 | ||
Net increase (decrease) in net assets from operations | 102,205 | |||
Capital share transactions | ||||
Issuance of shares | 30,358 | |||
Redemption of shares | (599,784 | ) | ||
Net increase (decrease) in net assets from capital share transactions | (569,426 | ) | ||
Net increase (decrease) in net assets | (467,221 | ) | ||
Net assets, end of period | $ | 13,483,654 | ||
NAV Per Unit, end of period | $ | 1,189.79 |
SUPERFUND GREEN, L.P. – SERIES B
NOVEMBER 2013 ACCOUNT STATEMENT
(Prepared from Books without Audit for the Month ended November 30, 2013)
STATEMENT OF INCOME | ||||
NOVEMBER 2013 | ||||
Investment income, interest | $ | (41 | ) | |
Expenses | ||||
Management fee | 23,739 | |||
Ongoing offering expenses | 12,832 | |||
Operating expenses | 1,925 | |||
Selling Commissions | 51,327 | |||
Other expenses | 323 | |||
Incentive fee | — | |||
Brokerage commissions | 33,037 | |||
Total expenses | 123,183 | |||
Net investment gain (loss) | (123,224 | ) | ||
Realized and unrealized gain (loss) on investments | ||||
Net realized gain (loss) on futures and forward contracts | 498,546 | |||
Net change in unrealized appreciation (depreciation) on futures and forward contracts | (209,584 | ) | ||
Net gain (loss) on investments | 288,962 | |||
Net increase (decrease) in net assets from operations | $ | 165,738 |
STATEMENT OF CHANGE IN NET ASSET VALUE | ||||
NOVEMBER 2013 | ||||
Net assets, beginning of period | $ | 15,534,013 | ||
Net increase (decrease) in net assets from operations | 165,738 | |||
Capital share transactions | ||||
Issuance of shares | 40,218 | |||
Redemption of shares | (431,723 | ) | ||
Net increase (decrease) in net assets from capital share transactions | (391,505 | ) | ||
Net increase (decrease) in net assets | (225,767 | ) | ||
Net assets, end of period | $ | 15,308,245 | ||
NAV Per Unit, end of period | $ | 1,255.55 |
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. |