Global Sigma Group

Global Sigma Fund LP
Principals: Hanming Rao, Ambrose Paxson
Option Writer / Financials & VIX | Option Trading, Multi-Strategy
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Month Performance
+0.98%
Aug 2026
YTD Return
+4.36%
Through Aug 2026
AUM
$69,448,298
Assets Under Management

Overview

Global Sigma Fund (Multi-Strat) manages a portfolio of Global Sigma's best uncorrelated strategies and optimizes results through measured risk management, active trading, strategy rebalancing, and leverage adjustments. Fund Composition: Proprietary strategies are combined to achieve diversification benefits in performance and volatility. The Fund maintains a long Vol structure while exploiting opportunities where pricing is inefficient to capture alpha.


Program Details

Inception DateNov 2015
Trading StyleOption Trading, Multi-Strategy
Holding PeriodShort Term
Markets TradedStock Indices, Financials, VIX
Margin0.00%
Minimum Investment$1,000,000
Management Fee2.00%
Performance Fee20.00%
This is a snapshot only. Investors should read Disclosure/Offering documents to determine suitability of investment.
GROWTH OF $1,000 VAMI
Program vs. Autumn Gold CTA Index
Global Sigma Fund LP compared with the Autumn Gold CTA Index
Hypothetical growth of $1,000 based on reported monthly returns.
PERFORMANCE SUMMARY
Annual Returns (Net)
YEAR 2025 2024 2023 2022
RETURN +9.26% +20.81% +11.81% -4.23%
Maximum Drawdown Since Inception -11.18%
Past performance is not indicative of future results.
FUTURES, OPTIONS, CRYPTO, AND FOREX TRADING INVOLVES RISK AND MAY NOT BE SUITABLE FOR ALL INVESTORS. PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS.