The Blue Mountain CAIS CA Fund was down 1.62% gross for July, bringing the fund's year-to-date performance to -4.49% gross. For the last 12 months, the fund is down 6.22%. The fund's net asset value was $2.551 billion at the end of July. Blue Mountain's offshore holdings had a net asset value of $2.029 billion, while the net asset value of its onshore holdings was $521 million.
Q2 hedge fund letters, conference, scoops etc




