Rivoli Fund Management

Rivoli International Fund (E)

Year-to-Date
N/A
Minimum Investment
EUR 5,000,000
Management Fee 3.00%
Performance Fee 20.00%
Annualized Volatility 15.80%
Sharpe (RFR=1%) 0.39
CAROR 6.02%
Assets EUR5,120,634
Worst Drawdown -47.01
S&P Correlation -0.12

Summary

Rivoli International Fund (target volatility 14%) is designed to generate absolute performance with a low correlation to traditional long only investment approaches, and with a strict risk management process. It uses systematic, computerized, price based and non discretionary trading systems which aim to profit from market inefficiencies that appear on many futures markets (interest rates, bonds, stock indices, currency markets, energy markets, metals, grains and soft commodities). The fund trading is focused on very short term to very long term trend following, short term contrarian and specific multi-market arbitrage strategies. The program is offered through a Euro master fund, a USD feeder fund, and can be duplicated for managed accounts.