EFTA00293376.pdf
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reATORUS
Investment Objectives
Atorus ("the fund") is a global multi-strategy fund
with a systematic bias. The Fund's objective is to
achieve absolute average gross returns of 24% per
annum with downside volatility half that of major
equity and credit markets.
Atorus employs a risk-conscious and proprietary
dynamic trading methodology that aims to minimize
downside volatility yet still generate consistent
uncorrelated returns in both up and down markets
with low portfolio turnover. The managers diversify
the portfolio with 400+ highly liquid positions
globally across multiple asset classes; G20 rates,
equity & credit indices, ETFs, and G20-listed equities.
The Fund's investment approach combines three
discrete modules; portfolio construction, directional
bias and timing, and risk management. The portfolio
is systematically constructed for reasons of
diversification, volatility, and low long-term
correlation. The portfolio is constructed to be broad
based, allowing the opportunity to generate returns
irrespective of any one particular market. The
directional bias of individual positions is the
foundation of the strategy. Atorus makes proprietary
calculations of changes in realized volatility and price
ranges to systematically alter the timing of entry and
exit for positions. This enables Atorus to operate
regardless of a high or low volatility environment.
The last stage of the investment process is robust
risk control, with particular focus on mitigating
drawdowns via position sizing, hold periods,
leverage, entry/exit points, and volatility based
rebalancing. Atorus is currently pre-launch, targeting
an initial capital raise of $100m for a launch date of
Q3 2014.
Fund Characteristics and Metrics
Average # of positions: 400
Average net leverage (notional
risk): 3.8x, 1.8x Ex Rates
Max leverage (notional risk):
5.5x
Asset doss allocation: Volatility
risk based
Sharpe Ratio: 1.2 (daily from
1995 to current simulation)
Average Annualized Return:
23.66% (1995 to current
simulation)
Average position hold period:
100 days
Our Edge
Scalability: Daily TDVT >$ltillion
Position Level Liquidity: One day
•
The managers have worked and traded together since 2007. Their backgrounds, experiences and
strengths are different & complimentary.
•
The team traded a 5100million portfolio of avg. risk for a European Bank from September 2011 to June
2013, achieving a profit factor in excess of 2X a win ratio of nearly 40%, while generating positive returns
on months with large market declines.
•
The Atorus methodology is an aggregation of deep understandings of complex trading systems and
market forces. The managers are driven by their dedication to discipline, order, and operational
excellence.
•
The focus lies on consistency of returns with minimal downside volatility.
•
Our 20 year simulation (details available on request) generates 24% gross IRR and only two down calendar
years, -8.5% and -0.5%
EFTA00293376
.ATORUS
Track Record — 20 Year Simulation
01
02
Q3
QO
Year
2014
6.00%
8.28%
16.50%
2013
4.47%
-5.68%
11.04%
14.16%
24.91%
2012
4.34%
-7.99%
3.26%
3.98%
2.47%
2011
10.71%
6.29%
-6.29%
-5.19%
4.55%
2010
2.87%
-7.12%
17.14%
5.13%
17.66%
2009
-3.85%
7.39%
30.82%
7.78%
45.60%
2008
233%
8.73%
10.70%
26.01%
55.21%
2007
5.99%
10.08%
21.54%
5.80%
50.03%
2006
9.93%
-7.98%
7.92%
12.96%
23.32%
2005
-4.10%
4.90%
10.60%
7.28%
23.68%
2004
1322%
-1233%
5.12%
30.47%
3626%
2003
13.50%
-0.88%
11.27%
3039%
63.54%
2002
-5.54%
16.67%
2434%
-321%
32.84%
2001
-0.29%
-11.01%
35.04%
-16.96%
-0.50%
2000
-2.01%
-10.95%
4.68%
10.43%
0.87%
1999
-16.01%
6.61%
-1.50%
20.02%
5.36%
1998
1388%
2.92%
9.10%
-4.20%
20.65%
1997
-4.92%
19.02%
1.33%
-626%
7.48%
1996
0.41%
6.53%
5.37%
15.29%
2935%
1995
1997%
8.09%
-0.22%
8.55%
40.46%
Team
Joshua L Levy - Partner & CEO
Joshua's career has focused on growing companies
and transforming complex processes into simple
ones. Since 2002 Joshua has been instrumental in
the growth of Round Hill Capital, a European
investment / asset management company with more
than $6B USD in capital invested, where he remains
active. Prior to founding and managing Red Dot
Trading, LLC, with Michael, Joshua at MUUS Asset
Management, responsible for the operational
restructuring and management of portfolio
companies. Joshua has an MBA from MIT Sloan, a
BA from Vanderbilt University and is the President
and majority owner of Graphic Utilities, Inc. a
specialty inkjet ink manufacturer.
2014
2013 -
NO.
2011 .S=
2010 -
2003
2008
2007
2006
2005
2000
2003
2002
2001
2000
1999
1998
1997
1996
1995
Michael J. Fowler — Partner & CIO
Michael's career has been focused on understanding
the nuances of complex financial systems and other
markets. In 2007 Michael was the Co-Founder with
Joshua Levy and Senior Portfolio Manager at Red Dot
Trading, LLC, he was responsible for the day to day
trading of a sector specific core listed-equity book.
Prior to this, he was the Director of Structured
Products & Finance at The Geneva Group in New
York, where he was responsible for developing
financial structures to provide bank-regulatory
capital relief solutions due to the Basel II risk
weightings.
Dlutalmer
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mad*. will bo made only pursuant to an investment Management Agreement gloho'). wi the case of any inconsistency horoten the descriptiew or tomein tut document and the intk mo
PAR shot control. lho document may not be nfpoducedor disorbuted n any format without the express written approve' of Red Oot Trade troene. lle While all information prepared n
this document is behaved tobo a“utMo. Rod Dot Trade Manto.LLC mates no omens warranty at to Its comoleionott or accuracy. nor can it accept responsitillty to. street n [hit document
lo d¢ rrns)rromexteMpewtted by low. Red Dot Tiede finance. llC disdains any end all liebrity in the event wrI informahon• commenter.. MOM, . opinions. OdYKe and/a
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EFTA00293377
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| Indexed | 2026-02-11T13:23:30.331229 |