Through the use of propriety trading techniques, ClearWinds Capital is able to maintain
portfolios and positions that are remarkably flexible and can rapidly adapt to changing
market pressures.
The short term nature of the Fund’s positions provide us the ability to refocus investments
at the first signs of unfavorable markets. Our strategies enable us to reassign capital to
reduce the risk of any continued adverse market move.
Through the development and refinement of an all-market strategy, ClearWinds Capital
has mastered a methodology by which open positions are altered to adapt to the constant
changes in the market.
These proprietary trading techniques have allowed the Fund to prosper in volatile
conditions by redeploying investment capital to maximize investment income while
significantly reducing overall market exposure and downside risk.