The design of Hoffman Asset Management investment methodology is to capture sustained price trends in the commodity futures markets. A mix of several proprietary trading systems gets combined with a unique risk management process. The logic is trend capturing and uses pattern recognition across several time frames. An exclusive ranking strategy monitors over 70 markets and constantly creates a dynamic verses a static portfolio of markets to trade. The risk management structure keeps volatility fairly low. We constantly manage new trade entry risk and ongoing, open trade equity risk. The net result of this ongoing management is a cut in standard deviation of returns.