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HYMAN BECK & COMPANY
Global Portfolio

  • CTA Name : Hyman Beck & Company
  • Program Name : Global Portfolio
  • Start Date : 1991-04-01
  • Trading Strategy
  • Systematic : 95%
  • Discretionary : 5%
  • Fundamental : Yes
  • Technical : Yes
  • Diversified Market Strategy : Yes
  • Sector Specific Strategy : -
  • Trade Duration
  • Long-Term : Yes
  • Mid-Term : Yes
  • Short-Term : -
  • Multi-Term : Yes
  • Markets Traded
  • Stock Index : Yes
  • Interest Rates : Yes
  • Currencies : Yes
  • Metals : Yes
  • Energy : Yes
  • Grains : -
  • Meats : -
  • Softs : Yes

Hyman Beck & Company

Global Portfolio


There is no performance data for this program

Hyman Beck & Company’s trading program relies primarily on technical analysis which emphasizes mathematical and charting approaches rather than fundamental. The trading methodologies employ were developed by Mr. Beck and Mr. Hyman. Although very systematic in their approach room is left for a certain amount of subjective judgement to be employed. Hyman Beck will also incorporate various risk management techniques to help limit losses, control market exposure and maximize profits. This includes identifying neutral modes for certain trendless markets that would dictate no positions be taken a particular contract or contract group. Trading portfolios and position sizes are continually adjusted based on market volatility, prices of commodities, amount of risk, potential return and margin requirements. The Global Portfolio participates in many of the internationally traded futures markets. Over 30 markets are traded with a concentration in world interest rate and other financial markets.



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