Volatility Trading

Capturing volatility and structural alpha is the name of the game for those trading options and volatility. These funds should be on your radar.

Past performance is not necessarily indicative of future results

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

DISCLAIMER

RCM Ranking = the Program’s ranking based on RCMs 1-5 star scale analyzing multiple risk and return metrics. All stats since inception. Return = the Compound Annual Rate of Return. Risk = the Max Peak to Valley Loss (Month End Basis). Minimum = the minimum investment amount. The following metrics are compared across the database, arriving at a quintile ranking for each program. Assets Under Management = the total amount of money invested in the program. Track Record Length = the amount of time a program has been active. Return/Risk Ranking = a measurement of the program’s risk adjusted returns. The value is determined by dividing the listed Return value by the listed Risk value. Stock Market Correlation = the program’s correlation to S&P 500 total return. QEP = the Program is only Available to Qualified Eligible Participants as that term is defined by CFTC rule 4.7.

Ag Traders

In the throwback world of fundamental trading based on crop yields, weather patterns, slaughter rates, and more, Ag Traders earn profits trading markets like Corn, Cattle, and Hogs.

Past performance is not necessarily indicative of future results

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

DISCLAIMER

RCM Ranking = the Program’s ranking based on RCMs 1-5 star scale analyzing multiple risk and return metrics. All stats since inception. Return = the Compound Annual Rate of Return. Risk = the Max Peak to Valley Loss (Month End Basis). Minimum = the minimum investment amount. The following metrics are compared across the database, arriving at a quintile ranking for each program. Assets Under Management = the total amount of money invested in the program. Track Record Length = the amount of time a program has been active. Return/Risk Ranking = a measurement of the program’s risk adjusted returns. The value is determined by dividing the listed Return value by the listed Risk value. Stock Market Correlation = the program’s correlation to S&P 500 total return. QEP = the Program is only Available to Qualified Eligible Participants as that term is defined by CFTC rule 4.7.

Private Funds We Work With

How do you get access to multi-million minimum investments for $10s of thousands?  You go into a private fund pooling investor money together.

Past performance is not necessarily indicative of future results

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

QEP

0%

RETURN

0%

RISK

$0

MINIMUM

Assets Under
Management

Return/Risk
Rating

Track Record
Length

Stock Market
Correlation

DISCLAIMER

RCM Ranking = the Program’s ranking based on RCMs 1-5 star scale analyzing multiple risk and return metrics. All stats since inception. Return = the Compound Annual Rate of Return. Risk = the Max Peak to Valley Loss (Month End Basis). Minimum = the minimum investment amount. The following metrics are compared across the database, arriving at a quintile ranking for each program. Assets Under Management = the total amount of money invested in the program. Track Record Length = the amount of time a program has been active. Return/Risk Ranking = a measurement of the program’s risk adjusted returns. The value is determined by dividing the listed Return value by the listed Risk value. Stock Market Correlation = the program’s correlation to S&P 500 total return. QEP = the Program is only Available to Qualified Eligible Participants as that term is defined by CFTC rule 4.7.

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