SP Trader seeks to achieve substantial absolute
medium-term growth of capital while aiming to restrict the associated
risk. The underlying investment program, the SP Trader Diversified
Program, seeks to capitalize primarily on upward and downward price
trends in a diversified range of global stock index, bond, currency,
metals and energies futures markets.
Account sizes vary from minimum sized accounts based on one Unit to over $5M accounts.
The portfolio incorporates several different models diversified across
a spectrum of time frames, which vary in average trade holding period
and trading frequency:
Short Term Program: trade index futures, with an average of about 110 trades per model, per market, per year.
Swing trade Program: trade index, commodity, currency,
energies, currency and metals futures, with average holding times
ranging from 3-10 days and trading frequency averages of about 40
trades per year per market.
Long Term Program: trade index, commodity, currency, energies and metals futures with average holding times ranging from 1 month to 12 months.
Please see
Products to view the different asset programs available to clients.
The Company is not leveraged or geared to any significant extent, and
is accordingly not exposed to levels of risk associated with gearing.
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