FTC Capital GmbH

FTC Futures Fund Classic (EUR)

Year-to-Date
7.84%
Minimum Investment
EUR 100,000
Management Fee 4.00%
Performance Fee 23.00%
Annualized Volatility 21.10%
Sharpe (RFR=1%) 0.32
CAROR 5.79%
Assets EUR35,565,776
Worst Drawdown -43.64
S&P Correlation -0.04

Summary

The track record of FTC’s diversified futures program dates back to 1994. Since May 1998 the fund is managed in its current jurisdictional form (SICAV) and is denominated in Euro. The fund is allowed to be distributed to the public in Austria and Luxemburg. In all other areas legal restrictions may apply.