Svelland Global Trading Fund focuses on long/short investment strategy investing in equities and commodities. Their annual gain target is in the range of 15%+ while keeping a low correlation with benchmarks from equity and commodities sectors.
The fund takes positions with an asymmetric risk in the commodities futures, freight derivatives, and equities related to commodities. The strategy is highly flexible allowing managers to express their views directionally (long/short), relative value (commodities vs related equities, and freight futures vs shipping or transportation equities). If options are a logical step, they are also used as a part of the investment strategy....