Logica Capital's Absolute Return Fund was down 1.8% for April, bringing its year-to-date return to -2%. The fund's Naïve Straddle of one put and one call was up 10.6% for April, resulting in a return of 7% year to date. Logica's benchmark, the CBOE Volatility Index, was up 12.8% for April and 16.2% year to date. The S&P 500 declined 8.8% for April, bringing its return to -13.3% year to date.
Logica's Tail Risk Fund returned 2.7% for April, bringing its year-to-date return to 5.4%. The fund's Naïve Ratio Straddle of one put and 0.5 of a call was up 19.9% for April and 23.4% for the first four months of the year.
Q1 2022 hedge fund letters, conferences...



