Investment Overview
Strategy Description
ARCM Ionic Strategy is a “Whole Portfolio” multi-strategy concept designed to deliver superior returns and lower drawdowns than a traditional investment portfolio. Composed of 3 components: Long Equity Index Futures (SP500), Long Fixed Income Futures (30 yr. US Treasury Bonds), and the ARCM Diversified Momentum Component, Ionic’s purpose is to deliver the aggregate return/risk of a diversified Core Holdings Investment Strategy AND an Alternative Managed Futures Strategy within a single futures-based account.
The Diversified Momentum Component uses a systematic quantitative approach, to trade and strictly manage risk across a current universe of 29 futures contracts in 8 market sectors (Financial Instruments - Govt. Securities, Foreign Currencies, Stock Indexes, Grains, Metals, Energies, Meats, and Soft Commodities).