Equanimity Capital Partners,


Fund Investment Objectives

At Equanimity Capital Management, LLC we use both fundamental and technical analysis, with a heavy reliance on technical. We do not attempt to predict markets. Our model is to be long/short and implement different asset allocation weightings throughout the year based on what is happening, not what we think might happen. Our emphasis is on capital preservation while targeting annualized returns of 12 to 15%, with little market correlation, very low risk and volatility as measured by Sharpe Ratio.