Dimacos Diversified Program receives award from BarclayHedge!

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Dimacos Diversified Program receives award from BarclayHedge for Top 10 Performance among Diversified Emerging Managers for December 2016

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Dimacos Diversified Program, a systematic absolute return investment strategy, has received an award from BarclayHedge for Top 10 Performance among Diversified Emerging Managers for December 2016.

The BarclayHedge database is one of the world’s largest databases of hedge funds, CTA funds and other alternative investment strategies providing investors unparalleled access to more than 7,300 funds and 2,300 investment management firms globally. BarclayHedge is dedicated to serving institutional clients worldwide in the field of hedge fund and managed futures performance measurement and portfolio management. BarclayHedge, formerly known as The Barclay Group, was founded in 1985, and consists of a team of research specialists, programmers, and data admin personnel experienced in alternative investments.

Vassos Kyprianou, Managing Director of Dimacos Capital Ltd and Chief Investment Officer of Dimacos Diversified Program at Numisma Capital Limited said, “We are delighted that our hard work over the last few years has brought results and recognition from one of the world’s leading and most respectable hedge fund databases. This award is testament that proper diversification, risk control and discipline in execution make all the difference in risk-adjusted results. Constant improvement is the only rule in money management and this recognition is a by-product of this.”

About the Dimacos Diversified Program

Dimacos Diversified Program (the “Program”) is a systematic absolute return investment program that aims to deliver attractive absolute performance irrespective of the direction of the stock and bond markets. The Program takes long and/or short exposure in equities, futures, other derivatives and cash from six asset classes, namely equity securities, indices, government bonds, interest rates, currencies and commodities. The Program combines equity momentum and systematic value strategies, that typically perform well when there is consistent euphoria, optimism and bull markets, with trend following strategies that typically perform well during periods high volatility and persistent market trends whether rising or falling. The integration of these strategies is carried out in a proprietary systematic way that is intelligent and adaptive to the market environment under a strict risk-management framework. This creates an attractive investment program, free from human bias, with sound expected risk adjusted returns. The Program is able to deliver positive outperformance in many different market regimes, including trending, trendless, bull or bear markets. It also demonstrates resilience or even positive profitability during periods of market turbulence.

The Program is being traded within a Fund, as well as Separately Managed Accounts managed  by Numisma Capital Limited, a Firm regulated by the Cyprus Securities and Exchange Commission as a MIFID-Compliant Investment Firm (License No: 122/10). The Firm is also registered for cross-border services across all EU-Member States.

*IMPORTANT: Please read our Disclosure Statement and Disclaimer.

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