The 1.2 Fund is a fully regulated international equity option fund, providing the investor with an alternative strategy to gain exposure to the S&P500 Futures Index.

The fund generates returns via option positions on the S&P 500 Futures Index. Exposure to the index is gained through a range of structures utilising both long and short positions seeking to achieve a monthly return of 1.2% net of fees.

The fund objective is to generate performance, irrespective of market conditions through the control of volatility. To achieve this aim, The 1.2 Fund combines actively managed short option positions and specific hedges designed to protect the portfolio and minimise negative drawdown.

The key features of the fund are risk control, position management, margin control and a proactive management style.

The fund has a proven track record of delivering returns in varying market conditions and is therefore largely independent of market directional risk.

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