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Agile Managed Futures Fund

Agile Managed Futures Fund

Overview

Investment Objectives:-

The CMM Agile Managed Futures Fund ("the Strategy") aims for absolute returns in all market conditions with targeted annual returns of 10%+.

Investment Strategy:-

The Strategy trades the major and highly liquid European financial futures contracts, which currently include:
  • The 4 European blue chip equity index futures - German Dax30, UK FTSE100, French CAC40 and Dow Jones EuroStoxx50 indices
  • The 2 benchmark European Government bond futures - German 10 year (Bund) and 5 year (Bobl)

Trading Strategy and Style:-

The Strategy seeks out short term, intra-day technical opportunities within market trends:
  • Exhaustion indicators
  • Mean reversion opportunities
  • Pivot points
Managed futures as an asset class has been a global growth story over the last decade, as more and more individuals and entities look for uncorrelated returns to heavily weighted stocks and property portfolios. Managed futures trading advisors can generate profit in both increasing or decreasing markets due to their ability to go long (buy) futures positions in anticipation of rising markets or go short (sell) futures positions in anticipation of falling markets. Moreover, the Strategy only trades the large liquid financial futures markets so that trades can be entered and exited quickly, looking to maximise price 'slippage' and avoid execution risk. managed Futures are not historically correlated to equity markets and are liquid during "fat tail" world events.

Weekly dealing
Sterling only


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