CSS ALPHA FUND LTD

CSS Europe acts as investment manager of this Fund. The investment objectives of the Fund are to preserve capital and to deliver absolute returns with low volatility, uncorrelated to equity markets. Our approach is to create a diversified portfolio of risk taking, in the traded options and futures markets.The Fund presently have four trading strategies: spread trading, options strategies, volatility trading and long/short equity strategies.

Class A shares seek to achieve 10-12% annual returns with a volatility of approximately 6%.

Class B Shares which are a 100% leverage of the Class A Share seek to achieve approximately 20% per annum with a monthly volatility of approximately 12 %.

To download the latest monthly Alpha Fund Ltd letter to shareholders click the link below:

Alpha Fund Ltd letter to shareholders