Diversified Trader Index For April 2000

Monthly Rankings

Rank CTA/Program Apr 2000 Min Inv Inception
58 DUNN Capital Management
D'Best Futures Fund, L.P.
-13.71 100k 6/1/1994
57 Dreiss Research Corporation
Diversified Program
-12.97 1,000k 5/1/1991
56 AIS Capital Management, L.P.
MAAP (3x-6x) Composite
-12.60 2,000k 7/1/1992
55 DUNN Capital Management
World Monetary and Agriculture Program (WMA)
-12.40 100k 11/1/1984
54 DUNN Capital Management
DUNN Combined Fund (DCF)
-11.35 100k 5/1/1989
53 Hawksbill Capital Management
Global Diversified
-9.80 5,000k 11/1/1988
52 AIS Capital Management, L.P.
MAAP (2x-4x) Composite
-8.82 3,000k 10/1/1992
51 Saxon Investment Corporation
Aggressive Diversified Program
-7.50 2,000k 11/1/1993
50 Red Oak Commodity Advisors
Investment Program
-7.30 5,000k 12/1/1989
49 FORT LP
Fort Global Diversified
-6.38 2,000k 10/1/1993
48 Alee Capital Management, LLC
Mistral Program
-6.22 2,500k 1/1/1999
47 Rabar Market Research
Diversified Program
-5.30 2,000k 1/1/1989
46 Sunrise Capital Partners
Sunrise Expanded Diversified Program
-4.65 1/1/1989
45 Eclipse Capital Management
Global Monetary
-4.25 5,000k 8/1/1990
44 Chesapeake Capital
Diversified (LV)
-3.80 100k 2/1/1988
43 Clarke Capital Management
Global Basic
-3.55 50k 2/1/1996
42 Saxon Investment Corporation
Diversified Program
-3.51 3,000k 9/1/1988
41 Conquest Capital Group
Conquest Macro
-2.90 250k 5/1/1999
40 Estlander & Partners
Global XL
-2.85 5,000k 8/1/1991
39 QCM
Global Diversified Programme
-2.52 500k 12/1/1995
38 Estlander & Partners
Global Markets
-1.75 10,000k 8/1/1999
37 Northfield Trading
Diversified
-1.70 2,000k 7/1/1989
36 RAM Management Group
MRTP Aggressive
-0.91 1,000k 2/1/1998
35 EMC Capital Advisors, LLC
Classic
-0.80 5,000k 1/1/1985
34 Superfund Group
Superfund Green GCT USD
-0.75 15k 1/1/2000
33 Rotella Capital Management
Rotella Polaris Program (Diversified)
-0.71 10,000k 1/1/1991
32 Rivoli Fund Management
Rivoli International Fund (MAP)
-0.47 5,000k 10/1/1996
31 W.G. Wealth Guardian Ltd.
SAFI2 Program
-0.42 1,000k 9/1/1997
30 Transtrend B.V.
DTP – Enhanced Risk (EUR)
-0.30 10,000k 8/1/1999
29 Eckhardt Trading Company
Evolution Strategies
-0.29 20,000k 8/1/1991
28 Mulvaney Capital Management
The Mulvaney Global Markets Fund
-0.27 100k 5/1/1999
27 Superfund Group
Superfund Green Q-AG
-0.20 2k 3/1/1996
26 Eckhardt Trading Company
Evolution Strategies 1.2X
-0.14 10,000k 10/1/1991
25 Transtrend B.V.
DTP – Standard Risk (EUR)
-0.13 10,000k 2/1/1999
22 Parizek Capital
Futures Trading Program
0.00 500k 4/1/2000
23 Kelly Angle Inc.
Genesis Program
0.00 2,000k 4/1/2000
24 Covenant Capital Management
Original Program
0.00 5,000k 9/1/1999
21 Transtrend B.V.
DTP – Enhanced Risk (USD)
0.14 10,000k 1/1/1995
20 RAM Management Group
RAM MRTP 1X-Conservative
0.37 1,000k 9/1/1993
19 Alee Capital Management, LLC
Poniente Program
0.39 2,500k 1/1/1999
18 Clarke Capital Management
Global Magnum
0.54 100k 8/1/1997
17 Estlander & Partners
Alpha Trend
0.73 30,000k 10/1/1991
16 Millburn Corporation
Diversified Program
0.83 20,000k 2/1/1977
15 Mark J. Walsh Company
Standard Program
1.12 2,000k 9/1/1985
14 Clarke Capital Management
Millennium
1.16 1,000k 1/1/1998
13 Tactical Investment Management
Tactical Institutional Commodity Program
1.34 10,000k 4/1/1993
12 MERIT Alternative Investments GmbH
Futures Portfolio
1.41 2,000k 6/1/1998
11 Hyman Beck and Company
Global Portfolio
1.65 1,000k 3/1/1991
10 Winton Capital Management
Diversified
2.06 50,000k 10/1/1997
9 Clarke Capital Management
Worldwide
2.96 250k 1/1/1996
8 Kaiser Trading Group
Kaiser Global Diversified Program - Class B
4.10 1,000k 3/1/1998
7 Mondiale Asset Management
Mondiale Trading Program
4.11 0k 9/1/1997
6 M.S. Capital Management
Global Diversified Program
4.45 2,000k 11/1/1998
5 Abraham Trading Company
Diversified Program
5.48 10,000k 1/1/1988
4 IKOS
The IKOS Hedge Fund
6.96 10,000k 7/1/1998
3 Crabel Capital Management
Crabel Multi-Product
7.50 1,000k 3/1/1998
2 Drury Capital
Diversified Trend-Following Program
11.91 5,000k 5/1/1997
1 Silicon Valley Quantitative Advisors
US Quantitative Portfolio (UQP)
17.17 200k 11/1/1999

Past performance is not necessarily indicative of future results. The risk of loss in trading commodity futures, options, and foreign exchange ("forex") is substantial.

IASG indexes are generated daily based on CTA manager supplied sector focus, investment strategy and performance. To participate in the IASG index, a program must have a minimum track record of 3 year's performance. Other indexes require a minimum two year track record. Strategy based indexes require the program's composition be more than 50% of the specific strategy. It is not possible for an investor to invest in any of the IASG indexes.

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