Stock Index Trader Index For April 2018

Monthly Rankings

Rank CTA/Program Apr 2018 Min Inv Inception
40 Taaffeite Capital Management LLC
TCM Global Index Fund (Growth)
-10.00 250k 8/1/2015
42 Taaffeite Capital Management LLC
TCM Global Index Fund (Growth)
-10.00 250k 8/1/2015
41 QTS Capital Management, LLC
Futures Managed Account
-3.59 100k 8/1/2012
39 QTS Capital Management, LLC
Futures Managed Account
-3.59 100k 8/1/2012
38 Soaring Pelican, LLC
Diversified S&P Program
-1.61 100k 1/1/2011
40 Soaring Pelican, LLC
Diversified S&P Program
-1.61 100k 1/1/2011
39 Typhon Capital Management, LLC
Helios Deutsche
-1.17 250k 4/1/2014
37 Typhon Capital Management, LLC
Helios Deutsche
-1.17 250k 4/1/2014
36 Doherty Advisors LLC
Grey Swan Hedge
-0.71 10,000k 4/1/2010
38 Doherty Advisors LLC
Grey Swan Hedge
-0.71 10,000k 4/1/2010
37 Warrington Asset Management
Warrington Strategic Program
-0.54 50k 1/1/1997
35 Warrington Asset Management
Warrington Strategic Program
-0.54 50k 1/1/1997
36 Kinkopf Capital Management
KCM S&P SELECT (Managed Client Accounts)
-0.49 25k 2/1/2016
35 Coloma Capital Futures(r), LLC
Hedged Volatility Strategy
-0.30 250k 5/1/2013
34 Coloma Capital Futures(r), LLC
Hedged Volatility Strategy
-0.30 250k 5/1/2013
33 Witter & Lester, Inc.
Redstone
-0.27 500k 9/1/1994
34 Witter & Lester, Inc.
Redstone
-0.27 500k 9/1/1994
33 SandPointe
SandPointe All-Seasons Strategy
-0.15 5,000k 1/1/2015
32 SandPointe
SandPointe All-Seasons Strategy
-0.15 5,000k 1/1/2015
31 Ring Capital Management LLC
S&P E-Mini Select
-0.15 100k 1/1/2012
32 Ring Capital Management LLC
S&P E-Mini Select
-0.15 100k 1/1/2012
31 Blackwater Capital Management
Tactical Equity
-0.09 500k 12/1/2013
30 Blackwater Capital Management
Tactical Equity
-0.09 500k 12/1/2013
29 Blake Capital Management, Inc.
SRD Short Equities
-0.08 100k 1/1/2011
30 Blake Capital Management, Inc.
SRD Short Equities
-0.08 100k 1/1/2011
29 Bluenose Capital Management, LLC
BNC BI
-0.04 30k 10/1/2008
28 Bluenose Capital Management, LLC
BNC BI
-0.04 30k 10/1/2008
27 SinoPac Asset Management
SinoPac Multi Strategy Quant Fund
0.00 250k 10/1/2009
28 SinoPac Asset Management
SinoPac Multi Strategy Quant Fund
0.00 250k 10/1/2009
27 Turk Capital LLC
US Market Hedge Strategy
0.03 250k 11/1/2015
26 Turk Capital LLC
US Market Hedge Strategy
0.03 250k 11/1/2015
25 Pearl Capital Advisors, LLC
Hedged VIX Program
0.19 500k 10/1/2015
26 Pearl Capital Advisors, LLC
Hedged VIX Program
0.19 500k 10/1/2015
25 Pinstripe Trading, LLC
Standard
0.22 125k 8/1/2009
24 Pinstripe Trading, LLC
Standard
0.22 125k 8/1/2009
23 Turk Capital LLC
US Equity Long/Short Strategy
0.25 250k 4/1/2014
24 Turk Capital LLC
US Equity Long/Short Strategy
0.25 250k 4/1/2014
23 Value & Growth CTA, LLC
Value & Growth Program
0.37 50k 6/1/2014
22 Value & Growth CTA, LLC
Value & Growth Program
0.37 50k 6/1/2014
21 Warrington Asset Management
Tactical Program Client
0.39 500k 2/1/2015
22 Warrington Asset Management
Tactical Program Client
0.39 500k 2/1/2015
21 SandPointe
SandPointe Opportunities Strategy
0.48 5,000k 5/1/2014
20 SandPointe
SandPointe Opportunities Strategy
0.48 5,000k 5/1/2014
19 Doherty Advisors LLC
Orion
0.56 1,000k 6/1/2015
20 Doherty Advisors LLC
Orion
0.56 1,000k 6/1/2015
19 Bulkara Capital
Bulkara Systematic Fund SP
0.87 250k 4/1/2014
18 Bulkara Capital
Bulkara Systematic Fund SP
0.87 250k 4/1/2014
17 Doherty Advisors LLC
Relative Value Plus
0.88 1,000k 7/1/2011
18 Doherty Advisors LLC
Relative Value Plus
0.88 1,000k 7/1/2011
17 Talenta Capital LLP
S&P 500 Momentum
1.02 950k 6/1/2014
16 Talenta Capital LLP
S&P 500 Momentum
1.02 950k 6/1/2014
15 Doherty Advisors LLC
Compass
1.12 1,000k 6/1/2015
16 Doherty Advisors LLC
Compass
1.12 1,000k 6/1/2015
15 Asset Management by Windsor Securities
Non-Correlated All-Class Growth Strategy (MAC)
1.15 500k 8/1/2007
14 Asset Management by Windsor Securities
Non-Correlated All-Class Growth Strategy (MAC)
1.15 500k 8/1/2007
13 Carbide Capital Inc.
Carbide Absolute Return Program
1.18 200k 9/1/2014
14 Carbide Capital Inc.
Carbide Absolute Return Program
1.18 200k 9/1/2014
13 Cauldron Investments, LLC
Stock Index Plus
1.21 1,000k 10/1/2009
12 Cauldron Investments, LLC
Stock Index Plus
1.21 1,000k 10/1/2009
11 SYNERGIE CAPITAL MANAGEMENT LLC
Synergie Focused Strategy
1.44 1,000k 1/1/2015
12 SYNERGIE CAPITAL MANAGEMENT LLC
Synergie Focused Strategy
1.44 1,000k 1/1/2015
11 Bluenose Capital Management, LLC
BNC EI
1.54 15k 7/1/2010
10 Bluenose Capital Management, LLC
BNC EI
1.54 15k 7/1/2010
9 Doherty Advisors LLC
Relative Value Growth
1.60 1,000k 6/1/2003
10 Doherty Advisors LLC
Relative Value Growth
1.60 1,000k 6/1/2003
9 Tianyou Asset Management, LLC
Tianyou Fund LP
1.65 100k 10/1/2012
8 Tianyou Asset Management, LLC
Tianyou Fund LP
1.65 100k 10/1/2012
8 Asset Management by Windsor Securities
Triple Advantage Strategy (MTAS)
1.65 500k 10/1/2014
7 Paskewitz Asset Management LLC
Contrarian S&P Stock Index LF
2.18 500k 1/1/2015
7 Paskewitz Asset Management LLC
Contrarian S&P Stock Index LF
2.18 500k 1/1/2015
6 Buckingham Global Advisors, LLC
Weekly Emini Program
2.48 200k 3/1/2015
6 Buckingham Global Advisors, LLC
Weekly Emini Program
2.48 200k 3/1/2015
5 Alder Capital DAC
CALM Eurozone Equity Program
3.21 250k 5/1/2015
5 Alder Capital DAC
CALM Eurozone Equity Program
3.21 250k 5/1/2015
4 ATP CAPITAL MANAGEMENT, LLC
Granularity Alpha
3.63 100k 4/1/2014
4 ATP CAPITAL MANAGEMENT, LLC
Granularity Alpha
3.63 100k 4/1/2014
3 Trading Study
SPK – E-Mini S&P 500 Option
5.26 15k 10/1/2009
3 Trading Study
SPK – E-Mini S&P 500 Option
5.26 15k 10/1/2009
2 Alpha Z Advisors LLC
Alpha Z Futures Fund, LLC
6.74 100k 7/1/2013
2 Alpha Z Advisors LLC
Alpha Z Futures Fund, LLC
6.74 100k 7/1/2013
1 Gregory P Asset Management LLC
Low Volatility Income Strategy
6.96 100k 5/1/2015
1 Gregory P Asset Management LLC
Low Volatility Income Strategy
6.96 100k 5/1/2015

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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