Hybrid February 2022

Hybrid Allocations through February 2022
Trading one unit, net of all spreads and commissions, no compounding and withdrawing all profits annually
Allocation pages provide full disclosure of trading methodology enabling performance verification
Allocation Webpage Mini- mum Life of Program Draw-
down
Best
Year
Worst
Year
Annual Average Last 12 Months
GSI $300,000 $2,11,805 ($71,151) $528,183 $93,108 $211,805 $304,846
EUR-X $50,000 $337,474 ($21,987) $73,100 $20,047 $38,939 $31,946
S&P-NC $35,000 $375,039 ($13,636) $57,106 $11,363 $34,887 $34,738
S&P-C $35,000 $376,253 ($15,264) $56,288 ($1,846) $24,808 $15,797
GC-C $35,000 $401,553 ($14,206) $59,490 ($483) $23,635 ($5,467)
GC-NC $30,000 $383,727 ($12,885) $60,986 $1,668 $29,518 $7,232
FX-NC $35,000 $229,293 ($12,972) $39,937 $11,146 $23,122 $19,627
MM-NC
$20,000
$167,919 ($7,392)
$28,004
$8,487.25
$19,010 $12,626
EUR-XM $12,500 $73,431 ($5,496) $14,620 $4,424 $8,472 $10,325
SPM-NC $12,500 $115,544 ($6,658) $19,059 $1,576 $10,478 $6,672
Other Automated Trading Account Programs
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Published by

Asset Investment Management

Family Office, Advisors