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CERVINO CAPITAL MANAGEMENT LLC Commodity Options Program (COP) |
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- CTA Name : Cervino Capital Management LLC
- Program Name : Commodity Options Program (COP)
- Start Date : 2007-07-01
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- Trading Strategy
- Systematic : 30%
- Discretionary : 70%
- Fundamental : Yes
- Technical : Yes
- Diversified Market Strategy : Yes
- Sector Specific Strategy : -
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- Trade Duration
- Long-Term : -
- Mid-Term : -
- Short-Term : -
- Multi-Term : Yes
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- Markets Traded
- Stock Index : -
- Interest Rates : -
- Currencies : Yes
- Metals : Yes
- Energy : Yes
- Grains : Yes
- Meats : Yes
- Softs : Yes
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Cervino Capital Management LLC
Commodity Options Program (COP)
PERFORMANCE DATA AVAILABLE FOR THIS PROGRAM - CLICK HERE TO VIEW
Cervino Capital Management’s COMMODITY OPTIONS PROGRAM is designed around a portfolio of commodity-based markets, including: energies, agriculturals including softs, industrial and precious metals, and commodity-related currencies. The objective of the program will be to generate an annualized gross return of 15-30% in an uncorrelated fashion relative to conventional equity/bond portfolios.
Approximately half of the trading will be focused on premium capture strategies established with the aim of generating income from such positions. Average trade time horizon is between 6 weeks and 24 weeks with market diversification taking into consideration potential correlations among the different commodities, as well as diversification of option strategies and time horizons utilizing different option expirations.
The remainder of the portfolio will be dedicated to speculative directional trades in the form of debit spreads, synthetic futures and occasionally outright long option positions. Premium option strategies may on occasion be converted into directional bets. Trading decisions are based on a blended analytical process combining quantitative analysis, fundamental studies, and technical and sentiment indicators.
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