05/01/2026 | Press release | Distributed by Public on 05/01/2026 09:20
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Share Class
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Ticker Symbol
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Class I
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SHRIX
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Class M
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SHRMX
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FUND SUMMARY
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S-1
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Stone Ridge High Yield Reinsurance Risk Premium Fund
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S-1
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INVESTMENT OBJECTIVE, STRATEGIES, POLICIES AND RISKS
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1
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More Information Regarding Investment Strategies
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1
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Additional Investment Practices
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6
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More Information Regarding the Risks of Investing
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7
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Disclosure of Portfolio Holdings
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19
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MANAGEMENT AND ORGANIZATION
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19
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Investment Adviser
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19
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Portfolio Managers
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20
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Additional Information Regarding the Adviser and Portfolio Managers
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20
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Distributor, Administrator and Transfer Agent
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20
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SHAREHOLDER INFORMATION
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20
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Fund Closings
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20
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How Fund Share Prices Are Calculated
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21
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INVESTING IN THE FUND
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23
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Eligibility to Buy Class I and Class M Shares
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23
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Investment Minimums
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23
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Other Policies
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23
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HOW TO BUY CLASS I AND CLASS M SHARES
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24
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How to Buy Shares
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24
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Customer Identification Program
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25
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HOW TO REDEEM CLASS I AND CLASS M SHARES
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25
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Payments of Redemption Proceeds
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26
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Dividend Reinvestment Plan
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26
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Distributions and U.S. Federal Income Tax Matters
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27
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Frequent Purchases and Sales of Fund Shares
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29
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INTERMEDIARY AND SERVICING ARRANGEMENTS
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29
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FINANCIAL HIGHLIGHTS
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31
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STONE RIDGE'S PRIVACY NOTICE
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33
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USEFUL SHAREHOLDER INFORMATION
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Back Cover
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Annual Fund Operating Expenses
(expenses you pay each year as a percentage of the value of your investment)
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Class I
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Class M
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Management Fees
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1.50%
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1.50%
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Distribution and/or Service (12b-1) Fees
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None
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0.15%
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Other Expenses
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Interest Payments on Borrowed Funds
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0.09%
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0.09%
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Remainder of Other Expenses
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0.14%
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0.14%
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Total Other Expenses(1)
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0.23%
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0.23%
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Total Annual Fund Operating Expenses(2)
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1.73%
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1.88%
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1 Year
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3 Years
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5 Years
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10 Years
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Class I
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$176
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$545
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$939
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$2,041
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Class M
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$191
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$591
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$1,016
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$2,021
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Best Quarter
(as of December 31, 2025)
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Worst Quarter
(as of December 31, 2025)
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||
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Q4 2022
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7.49%
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Q3 2022
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(10.29)%
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Average Annual Total Returns
for the periods ended December 31, 2025
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One Year
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Five Years
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Ten Years
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Class I
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Return Before Taxes
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13.08%
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9.47%
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6.44%
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Return After Taxes on Distributions
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7.36%
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5.37%
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3.27%
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Return After Taxes on Distributions and Sale of Fund Shares
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7.59%
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5.45%
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3.48%
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Class M Shares
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Return Before Taxes
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12.91%
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9.35%
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6.31%
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ICE BofA Merrill Lynch 3-Month U.S. Treasury Bill Index (reflects no
deduction for fees, expenses or taxes)
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4.18%
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3.17%
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2.18%
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Year Ended October 31,
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||||
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Class I
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2025
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2024
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2023
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2022
|
2021
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PER SHARE DATA:
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|||||
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Net Asset Value, Beginning of Period
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$9.28
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$9.19
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$8.09
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$9.01
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$9.28
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INVESTMENT OPERATIONS:
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|||||
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Net Investment Income (loss)(1)
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0.96
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1.00
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0.79
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0.44
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0.43
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Net Realized and Unrealized Gains
(Losses)
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0.25
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0.32
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1.00
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(0.99
)
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(0.23
)
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Total from Investment Operations
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1.21
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1.32
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1.79
(4)
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(0.55
)
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0.20
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LESS DISTRIBUTIONS:
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|||||
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Net Investment Income
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(1.28
)
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(1.23
)
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(0.69
)
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(0.37
)
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(0.47
)
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Net Realized Gains
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-
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-
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-
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-
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-
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Total Distributions
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(1.28
)
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(1.23
)
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(0.69
)
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(0.37
)
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(0.47
)
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Net Asset Value, End of Period
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$9.21
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$9.28
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$9.19
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$8.09
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$9.01
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TOTAL RETURN(2)
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14.27
%
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15.48
%
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22.92
%
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(6.40
)%
|
2.16
%
|
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SUPPLEMENTAL DATA AND
RATIOS:
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|||||
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Net Assets, End of Period (000's)
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$3,890,124
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$3,221,833
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$2,213,275
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$1,420,941
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$1,269,044
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Ratio of expenses to Average Net
Assets:
|
|||||
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Before Expense
Reimbursement/Recoupment(3)
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1.72
%
|
1.75
%
|
1.75
%
|
1.74
%
|
1.73
%
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|
After Expense
Reimbursement/Recoupment(3)
|
1.72
%
|
1.75
%
|
1.76
%
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1.72
%
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1.69
%
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Ratio of Net Investment Income (Loss)
to Average Net Assets:
|
|||||
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Before Expense
Reimbursement/Recoupment(3)
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10.67
%
|
10.95
%
|
9.07
%
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4.97
%
|
4.73
%
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After Expense
Reimbursement/Recoupment(3)
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10.67
%
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10.94
%
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9.06
%
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4.99
%
|
4.77
%
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Portfolio Turnover Rate
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24.72
%
|
28.58
%
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31.98
%
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25.70
%
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28.45
%
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|
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Year Ended October 31,
|
||||
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Class M
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2025
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2024
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2023
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2022
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2021
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|
PER SHARE DATA:
|
|||||
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Net Asset Value, Beginning of Period
|
$9.28
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$9.20
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$8.09
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$9.01
|
$9.29
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|
INVESTMENT OPERATIONS:
|
|||||
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Net Investment Income (loss)(1)
|
0.95
|
0.98
|
0.78
|
0.43
|
0.42
|
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Net Realized and Unrealized Gains (Losses)
|
0.26
|
0.32
|
1.01
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(0.99
)
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(0.25
)
|
|
Total from Investment Operations
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1.21
|
1.30
|
1.79
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(0.56
)
|
0.17
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LESS DISTRIBUTIONS:
|
|||||
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Net Investment Income
|
(1.26
)
|
(1.22
)
|
(0.68
)
|
(0.36
)
|
(0.45
)
|
|
Net Realized Gains
|
-
|
-
|
-
|
-
|
-
|
|
Total Distributions
|
(1.26
)
|
(1.22
)
|
(0.68
)
|
(0.36
)
|
(0.45
)
|
|
Net Asset Value, End of Period
|
$9.23
|
$9.28
|
$9.20
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$8.09
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$9.01
|
|
TOTAL RETURN(2)
|
14.23
%
|
15.26
%
|
22.93
%
|
(6.49
)%
|
1.90
%
|
|
SUPPLEMENTAL DATA AND RATIOS:
|
|||||
|
Net Assets, End of Period (000's)
|
$74,108
|
$89,416
|
$102,554
|
$126,416
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$148,332
|
|
Ratio of expenses to Average Net Assets:
|
|||||
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Before Expense Reimbursement/Recoupment(3)
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1.84
%
|
1.85
%
|
1.80
%
|
1.82
%
|
1.88
%
|
|
After Expense Reimbursement/Recoupment(3)
|
1.84
%
|
1.86
%
|
1.81
%
|
1.80
%
|
1.84
%
|
|
Ratio of Net Investment Income (Loss) to Average
Net Assets:
|
|||||
|
Before Expense Reimbursement/Recoupment(3)
|
10.52
%
|
10.74
%
|
8.98
%
|
4.83
%
|
4.57
%
|
|
After Expense Reimbursement/Recoupment(3)
|
10.52
%
|
10.74
%
|
8.97
%
|
4.85
%
|
4.61
%
|
|
Portfolio Turnover Rate
|
24.72
%
|
28.58
%
|
31.98
%
|
25.70
%
|
28.45
%
|