The Fund offers an opportunistic global-macro strategy that seeks to maximize total return via active management of securities and derivatives instruments. The Fund's investment strategies and portfolio investments differ from those of many other hedge funds and mutual funds. It aims to capture up and down-market moves using various quantitative models covering regulated cryptocurrency futures contracts.
How can we help?
By adding the Majestic Evolution Fund to your investment portfolio, you improve your chances of:
Past performance is not necessarily indicative of future returns. Futures trading involves substantial risk of loss.
Chart: data starts on 01/2012 up to the most recent quarter. This graph is for information only. The information contained in this graph was obtained from sources believed to be reliable. However, Majestic Asset Management cannot give any guarantee regarding the accuracy and completeness of the information or analysis contained therein and assumes no liability of any nature whatsoever in respect to any damage arising from the use of this graphic or its contents. Returns are net of management fees and performance fees. The performance published from 01/2012 to 11/2017 (inclusively) is hypothetical. The performance published after 11/2017 is that of the Majestic Evolution Fund. Hypothetical returns are calculated with a combination of analysis of past performance of indices, but also take into account the uncertainty contained in hypothetical data. The data that use hypothetical statistics might not reflect with accuracy the future performance of the Fund and other indices. Stocks: S&P500 Index. Bonds: iShares Barclays Aggregate Bond Fund (AGG). Real Estate: VNQ (ETF).