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STATISTICAL SUMMARY AND MONTHLY PERFORMANCE
 
MONTHLY PERFORMANCE FROM JAN 2, 2000

Investment Futures Growth Fund Monthly % Performance

 
2000
%
2001
%
2002
%
2003
%
2004
%
2005
%
2006
%
2007
%
2008
%
Jan1.444.326.889.446.005.95 2.21 1.200.96
Feb2.882.961.609.8411.605.04 2.56 3.42 0.64
Mar3.683.042.8814.8014.618.11 3.29 2.07 0.28
Apr5.845.4410.24- 0.109.443.94 1.28
1.04  
May3.207.4413.688.2429.844.48 -1.19
1.45  
June4.5610.246.5611.1214.563.44 2.37 0.56  
July5.523.365.846.568.933.70 4.62 -0.06  
Aug10.006.969.68- 1.0413.090.40 3.84 0.97  
Sep4.327.86- 0.551.8418.193.36 0.92 1.04  
Oct6.728.646.2410.0810.402.48 1.13 -0.04  
Nov1.922.506.7212.4814.564.27 2.74 1.03  
Dec3.92- 1.295.4412.082.670.53 2.08 0.46 
%TOTALS54.00 61.47 75.2195.34153.8945.70 25.85 13.141.88


Portfolio Futures Growth Fund Monthly % Performance

 
2000
%
2001
%
2002
%
2003
%
2004
%
2005
%
2006
%
2007
%
2008
%
Jan -   5.52 6.85 3.121.43 1.12
Feb 10.24 4.90 2.403.09 1.36
Mar 12.64 9.16 2.902.32 0.45
Apr 4.64 5.70 1.151.36  
May 14.92 5.96 0.671.60  
June 10.80 10.22 3.82 2.460.99  
July 6.76 5.12 3.65 5.860.04  
Aug 1.92 10.22 -1.12 4.231.11  
Sep -1.68 3.68 2.96 3.101.68  
Oct 10,28 9.96 3.74 0.200.06  
Nov 11.98 11.50 5.46 1.251.35  
Dec 13.07 6.00 0.96 2.880.87 
%TOTALS -  -   -  54.81 104.66 52.04 30.2215.90 2.93

SP Trader Investment Futures Growth Fund Historical Monthly % figures are based on average on a Two Unit investment with a margin cash position of 50%. In general SP Trader maintains a cash margin position per account between 30-50%.

The figures above are on a monthly basis and not compounded. For Annualized Revenues please write to us at info@sptrader.com.

SUMMARY DESCRIPTION
 
MULTI-STRATEGY INVESTMENT HEDGE FUND
MEAN ANNUAL RETURN: 72%
TOTAL TRACK RECORD: SINCE JAN 2000
24 MONTH SIMPLE RETURN ON CAPITAL: 248%
MINIMUM INVESTMENT: $6,250 PER 1 UNIT
NUMBER OF INVESTMENT PRODUCTS: 2
ANNUAL STANDARD DEVIATION: 13.0
ANNUAL SHARPE RATIO: 5.53
SORTINO RATIO: 7.26
SKEW (MONTHLY): 0.59
KURTOSIS (MONTHLY): 0.53
MEAN P/L/MO: 5.991
STANDARD DEVIATION PL/MO: 3.756
SKEW ADJUSTED DOWNSIDE STANDARD DEVIATION/MO: 2.86
* This Summary Description applies to the Investment Futures Growth Fund Product only.

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Multi-strategy Investment Hedge Fund
Mean Annual Return: 72%
Total Track Record Months: 84
Program Details
24 Month Simple Return On Capital: 248%
Minimum Investment: $6,250
Maximum Drawdown: -1.6
Cumulative Return of $1000
Copyright 2005 SP Trade Investments Capital Ltd.
All Rights Reserved.
 
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