Our specific objective is to achieve gross monthly returns of 2-3% in both bullish and bearish markets.
The markets in which we operate are often negatively correlated with other asset classes investors hold, making the fund a unique diversification tool.
Our trading team has been managing currency, commodity, and equity portfolios for a variety of investors for many years. Each member of the team was specifically chosen for their track record and area of expertise.
Average Monthly Return
Assets under management
Projected annual return
Currencies | Forex
Stocks and debt instruments
Commodities | Precious metals