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2100 Xenon - Long/Short Global FI Program


2100 Xenon is a Chicago-based commodity trading adviser that provides diversified alternative investment strategies to the institutional and retail marketplace. 2100 Xenon is an affiliated asset manager within Old Mutual (US) Holdings, the U.S.-based asset management business of Old Mutual plc. Listed on the London Stock Exchange, Old Mutual plc is an international financial services company providing asset management, insurance and banking services worldwide. The 2100 Xenon Fixed Income Program is a systematic managed futures strategy that invests in global fixed income markets with an expected volatility of 7.5-10% annualized. The Program uses experience-driven mathematical and statistical approaches to investment decision making and incorporates over 35 models to estimate signals across 9 markets worldwide The investment team, led by CEO/CIO Jay Feuerstein, has three decades of global capital markets trading experience.


The risk of loss in trading commodity futures and options is substantial. Before trading, you should carefully consider your financial position to determine if futures trading is appropriate for you. Past performance is not indicative of future results.



2100 Xenon - Long/Short Global FI Program
2100 Xenon - Long/Short Global FI Program S&P 500
Total Return 29.60%5.67%
Ann Return* 4.48%0.94%
Max Drawdown (%) (7.13%)(50.92%)
Max Drawdown (M) 716
Winning Months 4046
Losing Months 3125
% Profitable 56.34%64.79%
% Loss 43.66%35.21%
Avg. Win Month 1.48%2.73%
Avg. Lose Month (1.04%)(4.51%)
Sharpe Ratio 0.34(0.10)
Sortino Ratio 0.170.16
Sterling Ratio 0.20(0.06)
* Annualized Compounded Return for Performance Dates above


Monthly Performance (%) Net of Fees
  Jan Feb Mar Apr May Jun Jul Aug Sept Oct Nov Dec 2100 Xenon - Long/Short Global FI Program S&P 500
2010 1.26%1.63%(0.51%)(0.39%)2.14%0.55%4.74%(6.64%)
2009 (1.14%)(1.64%)(1.82%)(1.35%)(1.10%)(0.23%)(0.06%)0.68%0.17%0.36%1.83%(0.38%)(4.64%)26.47%
2008 5.51%3.64%(1.45%)(1.98%)0.70%0.43%(1.80%)(0.58%)(1.14%)5.00%1.53%1.96%12.07%(36.99%)
2007 0.24%(1.06%)(0.89%)0.48%2.71%(0.89%)(3.37%)(2.90%)2.91%1.89%3.77%(0.17%)2.47%5.49%
2006 (0.07%)0.52%1.50%0.33%(0.92%)1.23%(2.68%)(0.36%)0.13%1.56%(0.79%)2.00%2.38%15.78%
2005 0.60%1.12%0.86%1.38%(0.03%)2.63%(0.86%)1.34%(0.37%)1.75%0.04%(0.43%)8.27%4.90%
2004 2.33%0.04%0.43%(0.87%)0.01%1.93%10.85%

2100 Xenon - Long/Short Global FI Program Disclosure Document


All Rights Reserved. Copyright © GT Futures Group, Inc. 2006.
Disclaimer:
THE RISK OF LOSS IN COMMODITY FUTURES TRADING CAN BE SUBSTANTIAL. THEREFORE, YOU SHOULD CONSIDER WHETHER SUCH TRADING IS SUITABLE FOR YOU AFTER YOU HAVE CAREFULLY REVIEWED YOUR FINANCIAL CONDITION.