The Aspect Diversified Programme applies a fully systematic, momentum-based investment strategy. It offers exposure to a highly liquid and genuinely diversified portfolio of over 100 markets covering commodities, stocks, currencies and capital markets.
The fund continuously tries to improve its strategy and alpha-generating models through research and development. It emphasises forward-looking hypotheses about market behaviour.
The fund trades over 170 contracts in more than 140 markets across ei
The week on Risk.net, October 6-12, 2017Receive this by email