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Asset
Allocation
Corymb Capital
provides diversification benefits that may reduce risk and enhance returns
when added to a portfolio of stocks and bonds.
Uncorrelation
to Stocks & Bonds
Historical
returns have been independent of – i.e., have had a low statistical
correlation to – returns on investments such as stocks and bonds.
Global
Markets
Corymb Capital
participates in more than 60 futures and forward markets. These include
interest rates, currencies, stock indices, energies, metals and agricultural
contracts.
Disciplined
Investment Approach
All Corymb
Capital investment programs use a nonpredictive, systematic approach that
identifies long-term price trends in global markets.
Risk
Management Emphasis
Over the years
Corymb Capital has refined certain risk parameters including actively
managing position sizes; adjusting market sector allocations; and enhancing
the efficiency of trade execution. The end result has been an overall
reduction of volatility from previous levels, with continued profitability.
Long
& Short Positions Taken
The Corymb Capital
investment programs have the ability to profit from both rising and declining
markets.
24-Hour
Global Trading
Corymb Capital's
highly skilled traders work on a 24-hour rotation schedule, executing
different types of trades worldwide.
Risk
Factors
Although offering potential benefits, an investment
with Corymb Capital is speculative and involves a high degree of risk,
including volatility, large position size in relation to account equity,
illiquidity, lack of regulation in forward markets and different regulations
on non-US exchanges.
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