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TRANSTREND B.V.
Standard Risk EUR

  • CTA Name : Transtrend B.V.
  • Program Name : Standard Risk EUR
  • Start Date : 1999-02-01
  • Trading Strategy
  • Systematic : 100%
  • Discretionary : 0%
  • Fundamental : -
  • Technical : Yes
  • Diversified Market Strategy : Yes
  • Sector Specific Strategy : -
  • Trade Duration
  • Long-Term : -
  • Mid-Term : Yes
  • Short-Term : -
  • Multi-Term : -
  • Markets Traded
  • Stock Index : Yes
  • Interest Rates : Yes
  • Currencies : -
  • Metals : Yes
  • Energy : Yes
  • Grains : -
  • Meats : Yes
  • Softs : Yes

Transtrend B.V.

Standard Risk EUR


There is no performance data for this program

The applied principles of risk management supersede any other defined rule. The Advisor’s managed futures programs are designed to preserve capital and to remain within the limits of the defined risk tolerance. Each customized trading program consists of three basic components: portfolio composition; money management principles; and signalling systems. The programs may enter into both long and short positions in any of the markets involved. The transactions are based on leverage. The degree of leverage is implicitly determined by the reward/risk profile selected by the Client. The trading systems underlying the programs have been developed on the basis of a methodology called blind-testing. For the Advisor, this means that a limited sample of diverse markets is used to construct complex entry/exit tools, the allocation system and risk management in general. All trading (sub) systems compute specific risk provisions for each market exposure. Such provisions are intended to have a high degree of reliability.



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