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VEGA ASSET MANAGEMENT (USA) LLC Vega Global Fund |
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- CTA Name : Vega Asset Management (USA) LLC
- Program Name : Vega Global Fund
- Start Date : 1996-11-01
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- Trading Strategy
- Systematic : -
- Discretionary : 100%
- Fundamental : Yes
- Technical : Yes
- Diversified Market Strategy : -
- Sector Specific Strategy : -
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- Trade Duration
- Long-Term : -
- Mid-Term : -
- Short-Term : -
- Multi-Term : -
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- Markets Traded
- Stock Index : Yes
- Interest Rates : Yes
- Currencies : Yes
- Metals : -
- Energy : -
- Grains : -
- Meats : -
- Softs : -
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Vega Asset Management (USA) LLC
Vega Global Fund
There is no performance data for this program
Program Description: Investments are made in a wide variety of liquid products primarily in G-10 fixed income, currencies and equity indices utilizing both fundamental technical analysis. Investments ate based on global macro views and include directional and spread positions. Vega utilizes a disciplined risk/reward framework coupled with loss limited use of leverage. The primary objective is to generate a net annual return of 10% to 15% with a maximum drawdown during any calendar year of 6%. The fund's return objective can be achieved in both bull and bear market environments and should result in low levels of correlation with major stock or bond indices
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