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Paradigm Fund Series 1 · Tear Sheet
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Paradigm Fund Series 1, LP
Reg D 506(b) · For Accredited Investors Only
Tear Sheet · v1.0
Fund Overview

Paradigm Fund Series 1, LP

A disciplined long/short digital-asset trading program pursuing full-cycle returns through active volatility capture and rigorous risk management. Performance shown reflects WHCG, LP, the predecessor fund.

2023 Return
+48.31%
WHCG, LP — manager-reported, unaudited, gross
2024 Return
+130.02%
WHCG, LP — manager-reported, unaudited, gross
2025 Return
+64.30%
WHCG, LP — manager-reported, unaudited, gross
Track Record · Jan 2023 – Dec 2025

Comparative Performance — WHCG, LP vs. Benchmarks

Metric WHCG, LP Bitcoin S&P 500
Average monthly return 6.97% 5.73% 1.68%
Positive months 33 / 36 22 / 36 25 / 36
Worst single month −5.78% −24.82% −8.61%
Monthly volatility 7.37% 15.10% 3.44%
Win rate during BTC-down months 79%
Fund Terms · Summary

Principal Terms

Structure
Texas Limited Partnership
Management Fee
2.0% per annum of NAV
Offering Exemption
Rule 506(b) of Regulation D
Performance Allocation
Tiered 30 / 20% (GP discretion), HWM
Investment Co. Status
Section 3(c)(1)
Initial Liquidity Lock
30 days from admission
Eligible Investors
Accredited & Qualified U.S. clients
Redemption
Monthly, 30-day prior notice
Strategy
Long / short digital assets
Reporting / Tax
Monthly NAV · K-1 pass-through