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CERES ASSET MANAGEMENT LTD
HHH Investment Fund LTD

  • CTA Name : Ceres Asset Management Ltd
  • Program Name : HHH Investment Fund LTD
  • Start Date : 2007-03-01
  • Trading Strategy
  • Systematic : 50%
  • Discretionary : 50%
  • Fundamental : Yes
  • Technical : Yes
  • Diversified Market Strategy : Yes
  • Sector Specific Strategy : -
  • Trade Duration
  • Long-Term : Yes
  • Mid-Term : Yes
  • Short-Term : Yes
  • Multi-Term : Yes
  • Markets Traded
  • Stock Index : Yes
  • Interest Rates : Yes
  • Currencies : Yes
  • Metals : Yes
  • Energy : Yes
  • Grains : Yes
  • Meats : Yes
  • Softs : Yes

Ceres Asset Management Ltd

HHH Investment Fund LTD


There is no performance data for this program

Investment Objectives and Policy: The principal investment objective of the Fund is to achieve significant medium to long-term capital appreciation on funds under management while actively managing the risk associated with the Fundís trading strategy. Trading Strategy: The Fund will invest in a diversified portfolio of global securities, including but not limited to, equities, fixed income, foreign exchange, ADRís of emerging markets and associated derivatives products, including futures and options. The Funds Assets will be invested in regulated exchange traded futures and options markets, principally in the U.S.A. and the United Kingdom. These markets include but are not limited to grains and oilseeds, soft commodities, fibres, precious and base metals, and energy markets. Under the Investment Management Agreement between the Fund and the Investment Manager, the Investment Manager will make all decisions and effect the purchase and disposition of securities on behalf of the Fund, acting with full discretion but in accordance with the Fundís investment objectives and policies. The Investment Manager will be responsible for managing the assets and investments in accordance with the Investment Objectives and Investment Policy and Investment Restrictions described in this Offering Memorandum. The Investment Manager will select and appoint trading advisors, subject to approval by the Fund Directors, to invest the Fundís assets. Trading Advisors chosen by the Investment Manager will have proven success records in a wide variety of market conditions.



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