ROW Asset Management (ROW

Diversified LP)

Fund Investment Objectives

The investment objective of the ROW Diversified Fund is to seek to generate consistent long-term appreciation through active leveraged investing in global futures, forwards, and options markets. We utilize a quantitative approach to forecasting, portfolio construction, and risk management. The Program invests in currency, interest rate, energy, agriculture, and equity index instruments. We achieve style diversification by using a combination of Carry, Trend, Fair Value, Pattern Recognition, Time Decay, Sentiment, and Mean Reversion models.