|Vunani| Accelorator Portfolio

 

|Vunani| Accelorator Portfolio

 "Directional gearded strategy to take advantage of short-term market movements..."

The fund employs a directional geared strategy based on market opportunities trading in Single Stock Futures, Index Futures and Contracts for Difference in either direction, short or long.

Accelorator uses qualitative supply and demand signals to enter trades based on a top-down economic approach with liberal risk combining for and seeking superior performance through profiting from mispriced short term opportunities.

The fund is exceptionally active averaging at least 20 trades a month, with an average trade duration of around 5 days.

Money Management

Min 5% exposure per trade to a maximum of 10%Maximum of 85% exposure at one time

Trading Targets

Profit target of 5% per trade (geared 20-50%) of margin with a 2.5% stop loss exit level for a 2:1 ratio

 

 "Directional gearded strategy to take advantage of short-term market movements..."

The fund employs a directional geared strategy based on market opportunities trading in Single Stock Futures, Index Futures and Contracts for Difference in either direction, short or long.

Accelorator uses qualitative supply and demand signals to enter trades based on a top-down economic approach with liberal risk combining for and seeking superior performance through profiting from mispriced short term opportunities.

The fund is exceptionally active averaging at least 20 trades a month, with an average trade duration of around 5 days.

Money Management

Min 5% exposure per trade to a maximum of 10%Maximum of 85% exposure at one time

Trading Targets

Profit target of 5% per trade (geared 20-50%) of margin with a 2.5% stop loss exit level for a 2:1 ratio