Systemic volatility-based trading strategy with reallocation across 15 exchange traded indices targeting high annual returns in the mid-teens
Pluto SP employs a rotational trend-based strategy combining Regional Equities, Bonds and Volatility.
At any one time, it holds up to 15 exchange-traded indices across these asset classes and systemically re-allocates via a proprietary model throughout the month. The rotational strategy utilises data via external research sources.
Currently part of our emerging manager program, the Fund targets annual returns in excess of 20% with 15% volatility over a 3 year period. Pluto is anticipated to be made available to eligible investors from Q4 2015.