Palomar Fund Management

(Palomar Fund - B Shares)

Fund Investment Objectives

PALOMAR FUND operates a systematic futures strategy (CTA) with a track record of stable positive returns with very low volatility and with a low correlation to hedge fund and market benchmarks. Palomar Fund brings together the best risk-return strategies of the Partners' investment experience. The strategy is based on short-term market behaviours that recur over time statistically, and it performed very well throughout the credit crisis. The Partners have substantial portions of their net worth invested.