The smn Diversified Futures Fund is a fully systematic long-term Managed Futures Fund (CTA) capitalizing on market divergences in a broad range of global futures markets. The systems investment and risk management decisions are based on market directionality, inter market relationships, volatilities, long and short term market/position correlations and the overall risk regime. The funds main differences to a standard long term trend following approach are:
- Focus on maximum level of diversification. Meaningful exposure to smaller markets, commodities and synthetic markets
- Active reduction of portfolio risk concentrations through the use of short term correlation data
- Dynamic Risk budgeting based on the overall market risk regime