Slaton Capital
GLOBAL - LIQUID - TRANSPARENT

METHODOLOGY

Our trading methodology is a systematic approach blending long-term trend following, short-term trend following, short-term momentum and mean reversion strategies in an effort to reduce volatility while maintaining a return target of 15-25%.

Each strategy is further divided into sub-systems to facilitate smoother entries and exits. We have also implemented filtering techniques in some strategies to avoid trades with adverse risk/reward characteristics. While the filter's goal is to capture profits, its selectiveness allows the system to enter markets only during periods when the risk/reward of a trade is heavily in the trade's favor. It is even possible that if unacceptable risk characteristics exist, the filter could avoid trades with positive profit expectations. The end result is a trading method that has historically provided our investors exceptional returns with low correlation to stock and bond investments.

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THE INFORMATION CONTAINED HEREIN IS NOT TO BE CONSTRUED AS AN OFFER OF ANY SECURITY, COMMODITY, OR FUTURES CONTRACT.
THERE IS A SIGNIFICANT RISK OF LOSS IN FUTURES TRADING. PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.
Slaton Capital Management LP | 2001 Winthrop Hill Rd, Argyle, TX 76226 | T: 214.492.3741 | info@slatoncapital.com
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