Arnova Fund SP One Class A


Fund Investment Objectives

Arnova Asset Management offers access to their investment strategies through either an off-shore fund or managed accounts, depending on the investor jurisidction. The quantitative investment strategies are based on pure price volume analysis in various time frames. Proprietary programming framework created over more than 12 years with Head of Research unchanged throughout. Long/short liquid US stocks on cash only basis. No end of day leverage. Not market neutral or statistical arbitrage. Dynamic net exposure from -60% to +80%.