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ARASBRIDGE Absolute Return Fund

ARASBRIDGE Absolute Return Fund

Fund Highlights

  • Global managed futures and commodity fund of alternative Investment Managers.
  • The fund is designed to produce annualised growth of around 12% over the medium term while restricting the effects of volatility.
  • Profits in rising and falling markets: Using a technical approach and a range of investment times frames capitalising on upward and downward price trends across a diversified portfolio of around 100 global futures markets.
  • Profits in rising and falling markets: Using a technical approach and a range of investment time frames capitalising on upward and downward price trends across a diversified portfolio of around 100 global futures markets.

Fund Objective

The Arasbridge Absolute Return Fund seeks to generate an absolute return by allocating assets of the fund to an actively managed combination of managed futures or commodity trading advisor hedge funds. Systematic hedge funds base their investment decisions on four main indicators: (a) trend following indicators; (b) momentum indicators; (c) money management algorithm controls the equity growth of the system as a direct function of using correct position sizing and (d) volatility indicator measures market volatility as a smoothed average of weekly true range. It is used to place the initial protective stop and to size the position. A stop-loss placed at this level is less likely to suffer whipsaw solely because of normal price volatility.


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