Strategy

Model
ingenuity

Our systematic strategy combines several adaptive trend-following systems, each heavily researched and purpose-built.

While one remains fully invested, others seek to target specific stages of a trend. Both directional and complex, non-linear price action play a part in our thinking whilst our proprietary risk modulators seek to drive capital to the most stable trends.

Systematic trend-following innovation is the foundation of our longevity and consistency.

In line with the needs of our investors and strategy, each model expresses itself using highly liquid futures across global equity, fixed income, currency, and commodity markets.

- David Gorton

Positively-skewed performance uncorrelated to
major asset classes

*Since strategy inception on 1st May 2006 to 31st June 2024

0.00%

Arrow

Correlation to global bonds

0.00%

Arrow

Correlation to global equities

0.00%

Arrow

Lowest calendar-year return

0.00%

Arrow

Highest calendar-year return

Historical risk mitigation record

Strategy performance during the worst ten months of MSCI World Index (10 May 2006 - 31 Dec 2022)

Strategy

MSCI World Index

10.75%

-19.04%

Oct

2008

6.80%

-13.47%

Mar

2020

-0.13%

-12.08%

Sep

2008

-1.06%

-10.49%

Feb

2009

-2.12%

-9.91%

May

2010

10.25%

-9.46%

Sep

2022

3.53%

-8.99%

May

2012

-0.91%

-8.85%

Sep

2011

-1.81%

8.85%

Jan

2009

2.32%

-8.77%

Jun

2022

Strategy-background

Our systematic innovation
pillars

01

02

03

Restless R&D

We are continuously enhancing our existing trend-following systems while investing heavily in the build of new iterations designed to capture complex, emerging tends.

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