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NYSO Investment Holdings, LLC. is a Delaware limited liability company (the Company) formed on the 20th of July 2015. The company is being operated as a private investment fund under Section 3(c)(1)of the Investment Company Act of 1940, as amended (the "Act").

The manager has exclusive control over day-to-day activities operations of the company even if additional Managers are admitted to the company in the future. The principal office of the company and the manager is One World Trade Center, 385 Fulton St. Suite 8500 New York City, NY 10007 U.S.A.

Investment Management

The Investment Manager is not currently registered with the Securities and Exchange Commission (SEC). However, the Investment Manager intends to engage registered investment advisors to comply with recent changes to the U.S. Securities Regulations or will complete the registration process if required.

General Philosophy

The Company is primarily a long investor on U.S. and foreign equity markets; funds focused on energy and minerals; and U.S. governmental & Foreign Infrastructure projects. The Company's focus is on long & short term investing, and its primary investment vehicles will be securities of large to small capitalized companies. The Company expects to make investments in securities, other funds, and private equity. The Company's goal is to generate outstanding returns on a rolling 24-36 month time horizon through the use of fundamental research across multiple industry sectors in order to generate an edge of insight or factual information. Once such information is obtained, the Company will determine if the information will put a company or an industry in a position to achieve success. Companies showing strong attributes will be considered for investment. Depending on the market environment, the Company's portfolio may be hedged at times using short sales of stocks and other derivative securities.

Suitability

This offering is not registered under the Securities Act of 1933, as amended (the “Act”), as is being made in reliance on the exemptions provided for in Section 4(a)(2) of the Act and Rule 506(c) of Regulation D, promulgated by the Securities and Exchange Commission thereunder. This Offering is only available to suitable Accredited Investors as defined in Rule 501(a) of Regulation D promulgated under the Securities Act of 1933. The Manager may, in its sole discretion, accept or decline to admit any investor. Individual Retirement Account (IRA) investors and other tax-exempt investors should carefully review the section herein entitled “Certain Federal Income Tax Considerations” and consult their own tax advisors.