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A hedge fund and alternative investment organization, Coast Asset Management, L.P. is a hedge fund and alternative investment management organization built on relative value arbitrage and market neutral outstanding performance. Founded in 1991, Coast offers institutional and high net worth investors various performance-oriented, low volatility fixed income strategies that have generated some of the best risk-adjusted track records in the hedge fund industry. Our hedge funds trade in a variety of market neutral strategies, including relative value fixed income arbitrage, credit spread strategies, and fund-of-funds.


 
 

 

 
 
 
Coast Asset Securities, LLC and Coast Asset Management L.P. (collectively, "Coast") may only transact business in any state if first registered, excluded or exempted from state broker-dealer or investment advisor requirements, respectively. Any individualized responses to persons in any state by Coast that involve either the effecting or attempting to effect transactions in securities, or the rendering of personalized transactions in securities, or the rendering of personalized investment advice for compensation, as the case may be, will not be made without compliance with state broker-dealer and investment advisor requirements or an applicable exemption or exclusion.

PURSUANT TO AN EXEMPTION FROM THE COMMODITY FUTURES TRADING COMMISSION IN CONNECTION WITH ACCOUNTS OF QUALIFIED ELIGIBLE CLIENTS, THIS BROCHURE OR ACCOUNT DOCUMENT IS NOT REQUIRED TO BE, AND HAS NOT BEEN FILED WITH THE COMMISSION. THE COMMODITY FUTURES TRADING COMMISSION DOES NOT PASS UPON THE MERITS OF PARTICIPATING IN A TRADING PROGRAM OR UPON THE ADEQUACY OR ACCURACY OF COMMODITY TRADING ADVISOR DISCLOSURE. CONSEQUENTLY, THE COMMODITY FUTURES TRADING COMMISSION HAS NOT REVIEWED OR APPROVED THIS TRADING PROGRAM OR THIS BROCHURE OR ACCOUNT DOCUMENT.

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Information about the funds (the "Investment Funds") managed by Coast Asset Management is only available to investors who qualify as an Accredited Investor (as defined in Rule 501(a) under the Securities Act of 1933), a "qualified eligible participant" (within the meaning of Rule 4.7 of the Commodity Exchange Act (the "CE Act")), a "qualified client" (as defined in Rule 205-3 of the U.S. Investment Advisors Act of 1940, as amended (the "Investment Advisers Act")) and in certain cases as a Qualified Purchaser (as defined in Section 2(a)(51) of the Investment Company Act of 1940). Under applicable securities laws, Coast Asset Management may be required to obtain information as to your identity and background indicating that you are "accredited" or "qualified". Therefore, we must ask that you complete the information form requested above. Coast will contact you to verify eligibility for website access. Upon verification of your investor status, you will be emailed a login name and password which can be used to gain access to the restricted parts of the website. Information provided to Coast will be held in confidence and used solely for the purpose of any potential investment.

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