We pursue capital appreciation regardless of Market Trends.

The Fund aims to deliver enhanced risk-adjusted returns with a lower degree of market volatility compared to equity markets.

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CrunchDAO

DataCrunch uses the quantitative research of the CrunchDAO to manage this systematic market-neutral portfolio

This long-short portfolio is rebalanced weekly to target a net less than 0.01% exposure to BARRA's multi-factor risk model  (market, value, momentum, industry, etc).

The long-term strategic goal of the fund is capital appreciation by capturing idiosyncratic return (pure alpha) with low volatility obtained through a market neutral portfolio (~0% beta to market and style factors).

We pursue capital appreciation regardless of Market Trends.