05 Oct 2010

Newsletter: Analyzing MF Drawdown, Recovery, & Run-Up Cycles

Our Monday night newsletter is up at: https://bit.ly/cvOBAf. Of particular interest given the current environment of systematic multi-market managers making new highs while option selling managers struggle with drawdowns for the first time since 2008 is the following paragraph: It is interesting to note the contrast between the long volatility programs with their long drawdown/short […]

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01 Oct 2010

Managed Futures finish Q3 on up note

We are estimating the various managed futures indices finished September up between 1.25% and 3%.  [The NewEdge CTA Index was sitting at +1.56% through 9/29 (and likely gave some profits back on grain, gold, and currency reversals on 9/30).  This would put the Q3 gains for managed futures at about 4.3%, marking the best performance […]

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24 Sep 2010

The trend is your friend….except when it isn’t

Several multi-market trend following strategies are enjoying a strong month in September thanks to extended moves in grains, metals, foreign currencies, and stock index futures.  And while these trends have been great for managers like Covenant Capital & Robinson – Langley (both up approximately 8% for the month), these markets have been nasty for short […]

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