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Svelland Global: China Stimulus Can Push Demand For Iron Ore; Trend Of Rate Cuts Intensifies 

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Predrag Shipov
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Svelland

The Svelland Global Trading Fund utilizes a long/short strategy combining investing in equity and commodities. Their annual target return is 15%+ which is in low correlation to benchmarks.

Risk positions that the strategy expresses are asymmetric and are distributed among commodity futures, freight derivatives, and commodity-related equities. The management team has the flexibility to express its views. Depending on the situation it can be directionally (long/short), or relative value (commodities vs related equities and freight futures vs shipping and transportation equities). If the options play as a viable option, they can also be used.

The fund has a...

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