Special Opportunities Managed Accounts

Key Facts

Objective

To generate absolute returns uncorrelated to traditional asset classes.

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Strategy

Proprietary systematic pattern recognition methodology which seeks to identify chart breakouts that subsequently develop into major price movements.

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Risk Management

Disciplined and methodical, achieved by diversifying the portfolio into non-correlated sectors, calculating fixed weighting, to ensure risk (contract value x volatility) remains similar for each trade. Stop orders are placed on all
positions to manage risk, contain losses and protect profits.

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Transparency

Online account monitoring
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Minimum Investment

USD 500,000

Markets Traded

Exchange-traded futures

Asset Classes

  • Currencies
  • Equity indices
  • Interest rates
  • Energy
  • Base and precious metals
  • Soft commodities
  • Agricultural commodities

Charges

  • Monthly Management Fee 2%pa
  • Quarterly Performance Fee 20%

Redemptions

Monthly

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FOR MORE INFO

To find out more,
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or call +44 20 3427 3800
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