Trident Advantage Group

Dynamic Volatility Fund L.P.

Fund Investment Objectives

The Trident Advantage Group Dynamic Volatility Fund, LP ("Fund") largely replicates the trading approach the principals have used for the past decade of options volatility trading. Our successful approach to volatility arbitrage includes the inputs of proprietary volatility modeling, price and risk modeling and probabilistic scenario analysis. This approach allows for many positions to be implemented with predetermined and limited risk. Opportunities are identified across the spectrum of derivatives (listed indexes, ETFs and individual equities) allowing diversification of risk. The Fund has a neutral bias and is designed to be uncorrelated to the equity market allowing investors to profit in up, down and flat market environments.