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Impressum
FTC Capital GmbH
Praterstrasse 31
A-1020 Vienna

Telefon: +43(1) 585 61 69-0
Fax: +43(1) 585 61 69-9
mail: office@ftc.at

 

Achtung

FTC-Fonds sind nicht in allen deutschsprachigen Ländern zum öffentlichen Vertrieb zugelassen. Siehe dazu im Detail den Link RECHTLICHE HINWEISE

Statistics FTC Futures Fund Dynamic as of 01/31/2012

 

PERFORMANCE*
Performance (month) 4.43%
Year to Date 4.43%
1 year -17.94%
3 years -22.02%
5 years 43.54%
Since Inception 126.39%

RISK:RETURN Figures (last 5 years)*
Comp. Rate of Return 7.50%
Annualised Volatility 25.08%
Modified Sharpe Ratio 0.30
Maximum Drawdown -28.83%
Return/Max DD (Mod. Calmar Ratio) 0.26
Annualised Downside Deviation 20.87%
Modified Sortino Ratio 0.36

EFFICIENCY (last 5 years)
Positive months (%) 50.00%
Negative months (%) 50.00%
Positive 12 monthly periods 43
Negative 12 months windows 17
Longest Drawdown (months) 25

CORRELATIONS (5 years)
MSCI World Index (USD) 0.01
S&P 500 -0.04
Barclay CTA Index 0.81
CS/T HF Index Managed Futures 0.87
JPM GABI USD Index -0.22

 

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Performance (%)*

FTC Futures Fund Dynamic is a subfund of FTC Futures Fund PCC Ltd., Gibraltar. This Fund has been established in Gibraltar as an experienced investor fund. It is suitable only for those who fall within the definition of "experienced investor" contained in the Financial Services (Experienced Investor Funds) Regulations 2005. It is not subject to the tax provisions of EU-Savings-Directive. An offering memorandum is available for interested parties free of charge at the registered office of FTC in Vienna and at the registered office of FTC Futures Fund PCC Ltd., Suite 209, Neptune House, Marina Bay, Gibraltar. We expressly point out to the risk factors contained therein. Last announcement of the offering memorandum: May 24, 2011 (Wiener Zeitung).


12 months rolling returns (%)*

Drawdowns (%)*
 
Performance since Inception (%)
Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Year
2002 10.40 12.05 3.73 10.86 12.05 -13.82 -5.07 7.66 40.38
2003 11.08 14.12 -21.24 -1.24 22.98 -7.78 -9.01 0.06 -15.75 1.82 -3.74 -1.06 -16.82
2004 -6.60 20.30 -2.80 -13.50 -4.23 -6.27 -2.61 -6.38 4.09 1.59 12.26 0.55 -7.70
2005 -7.21 4.28 -3.85 -7.50 7.03 11.03 3.20 5.90 4.99 -8.82 8.81 4.23 21.34
2006 3.57 -3.77 13.20 5.57 -6.44 -1.58 -11.95 2.89 -5.42 6.94 3.37 9.46 13.71
2007 6.05 -7.57 -4.18 15.93 8.81 3.63 -10.91 -11.65 17.71 12.73 -1.68 0.43 26.64
2008 5.74 12.84 3.51 -4.94 -2.81 13.55 -7.01 -2.18 8.61 12.83 3.85 3.12 54.66
2009 -0.33 1.71 -5.87 -4.09 1.46 -3.88 -3.59 8.03 5.32 -7.67 9.53 -6.76 -7.70
2010 -9.52 -0.23 10.49 1.65 -8.01 -2.02 2.59 5.63 -3.76 5.86 -7.77 8.02 0.51
2011 2.09 5.56 -3.85 8.78 -10.82 -6.76 0.19 -2.29 -2.31 -7.39 -3.24 -0.13 -19.78
2012 4.43 4.43
 

*Note: Fund start was May 2002 (USD 1,000). Calculations are based on end-of-month value. Source of information: data base FTC Capital GmbH. Performance data refer to the past. Past performance is no reliable indicator for future results. Currency of the fund is USD. The return may increase or drop due to fluctuations of currencies.