Statar Capital is an investment management company focused on directional and relative-value trades in flat price, spreads and volatility, primarily in natural gas. The manager believes natural gas is a unique, mathematical market due to its high degree of transparency and expansive fundamental data. The backbone of the Statar Capital natural gas investment strategy is the fundamental proprietary inventory and supply/demand balance forecasting in the United States. The manager aims to employ a calculated, rigorous drawdown analysis, which is integral to the Statar Capital portfolio construction process, drawing from both our fundamental and technical models. Statar maintains a liquid portfolio by focusing on trading the prompt natural gas contract and liquid spreads.