Warrington Asset Management
Warrington Strategic Fund, LP
Report Start Date: Jan-1997 | End Date: Apr-2025
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Current Return: +0.8%
YTD Return: +1.29%
Annualized Return: +7.85%
AUM: $ 11,524,000
Trading Strategy

Discretionary / Option Writer / Stock Indices

Program Description

Warrington Asset Management utilizes a fundamental, discretionary trading strategy using options on the S&P 500 index futures. We seek to produce consistent, non-volatile, superior returns that are uncorrelated to stocks, bonds and other CTAs. Having traded the same strategy since 1997, Warrington's tested and proven methodology is designed to potentially profit in any market environment. Warrington uses technical and fundamental market analysis to form a market opinion and then uses combinations of options to express that opinion. By trading only around the front-month options expiration, Warrington is able to keep its positions very short-term in nature, usually lasting only four to six weeks in duration. Risk management and capital preservation are key components of the strategy and using our predetermined, incremental hedging strategy has been instrumental in minimizing losses in a variety of volatile markets since 1997.

Program Statistics
Peak-to-Valley Drawdown (2) -21.72%
    From Jul 2008 to Dec 2008
Worst Month (May 2010) -14.81%
Current Losing Streak 0%
Average Monthly Return 0.66%
Monthly Std. Deviation 2.13%
Gain Deviation (238 months) 1.34%
Loss Deviation (102 months) 2.38%
Gain to Loss Ratio 1.16
Omega Ratio (5% Threshold) 1.44
Annualized Performance
Compound ROR (1) 7.85%
Standard Deviation7.38%
Downside Deviation5.11%
Sharpe Ratio (3) 2% RF ROR 1.01
Sortino Ratio (4) 5% MAR 1.47
Calmar Ratio (5)2.01
Sterling Ratio (6) 0.15
Gain Deviation4.63%
Loss Deviation8.25%
Profit Loss Ratio2.71
Investment Information
Program Start Date Jan-1997
Percent Discretionary 100%
Currency Denomination - US Dollar
Minimum Investment $2,000,000
Minimum Fund Investment $50,000
Management Fee 2.00%
Incentive Fee 0.00
NFA No: #0438164

Performance Since January 1997 | Please See Accounting Notes | A Portion of this Performance is Based on Proprietary Trading
JanFebMarAprMayJunJulAugSepOctNovDecROR Max DD
2025-0.13%0.52%0.10%0.80%1.29%-0.13%
2024-0.04%-0.25%-0.12%0.98%-0.27%-0.15%0.41%0.25%0.11%0.03%-0.25%0.29%0.99%-0.42%
2023-0.15%0.27%0.04%-0.24%-0.15%-0.37%0.09%0.76%0.52%0.33%-0.14%-0.06%0.90%-0.76%
20220.80%0.31%0.16%1.12%0.20%0.99%-0.77%0.35%0.45%-0.09%-0.31%0.64%3.90%-0.77%
2021-0.56%1.71%0.42%-0.42%0.65%0.15%-1.47%0.17%2.20%0.27%0.75%1.10%5.03%-1.47%
2020-0.09%-0.51%0.13%-0.26%0.51%0.86%-0.07%-0.25%0.06%0.04%-0.25%0.71%0.87%-0.73%
2019-0.15%-0.27%1.08%-0.64%1.12%-0.18%0.25%0.01%0.13%0.22%-0.30%0.02%1.29%-0.64%
2018-0.34%1.44%1.07%-0.54%-0.03%0.98%0.27%0.03%1.14%2.38%0.44%-3.00%3.80%-3.00%
20170.59%-0.02%1.86%0.18%1.04%0.96%0.07%-0.47%0.21%0.19%-0.73%-0.14%3.79%-0.94%
2016-0.50%-0.18%-0.58%0.32%1.06%2.06%-0.54%1.01%1.52%0.41%-0.61%0.57%4.59%-1.26%
20151.61%-0.20%1.49%-0.16%-0.66%1.74%2.12%-2.11%-0.29%-0.70%0.44%0.37%3.62%-3.08%
2014-0.14%0.20%1.15%0.93%0.44%-0.58%0.37%-0.92%0.87%-0.59%-0.71%0.15%1.15%-1.56%
2013-0.39%0.04%-0.01%0.00%-1.10%-1.71%-0.18%4.14%-0.47%-0.28%-0.45%0.73%0.20%-3.32%
20120.46%-0.41%-0.04%2.54%2.12%2.57%0.19%0.02%1.09%1.63%0.09%1.48%12.32%-0.45%
20110.16%0.59%2.46%1.47%2.29%2.03%-1.61%-4.53%1.56%-0.58%4.35%3.73%12.23%-6.07%
20100.43%3.76%-0.03%0.44%-14.81%-0.26%-0.17%3.25%0.48%-0.65%2.08%-0.40%-6.99%-15.18%
20092.30%4.02%0.04%0.01%2.64%3.01%0.50%0.39%0.77%-0.67%2.41%1.48%18.14%-0.67%
2008-5.19%1.08%2.01%2.20%2.95%1.83%0.19%-0.04%-14.10%-6.43%-2.33%-0.24%-17.85%-21.72%
20071.41%-3.84%-0.75%-1.89%1.69%3.79%-5.66%4.98%2.92%3.89%5.49%1.72%13.88%-6.77%
20060.20%0.36%1.85%1.39%0.84%1.56%2.42%0.91%0.70%0.97%0.62%0.89%13.45%0.00%
20050.42%1.64%1.64%1.86%1.27%0.07%-2.31%2.80%1.39%0.38%0.47%0.65%10.68%-2.31%
20041.52%0.93%3.18%1.50%2.13%0.67%3.19%-0.21%0.96%2.98%-1.33%-0.31%16.19%-1.64%
20032.30%1.76%2.59%-0.35%1.18%1.67%-0.90%2.95%0.48%0.47%4.03%0.11%17.43%-0.90%
20022.42%1.04%0.35%1.38%0.58%1.01%1.20%2.27%2.42%-2.03%-1.68%5.13%14.82%-3.68%
20013.28%-1.15%-0.35%-6.06%2.07%-0.29%0.63%2.16%-6.19%3.69%1.65%2.12%0.97%-9.18%
20002.19%2.20%1.50%1.06%-1.39%3.03%2.41%1.79%2.68%1.95%1.46%1.25%22.01%-1.39%
19995.10%2.94%2.40%1.50%2.66%1.96%2.80%2.02%3.10%-4.43%2.16%0.85%25.31%-4.43%
19982.00%0.58%2.25%3.36%3.28%4.07%0.43%-1.77%7.83%2.86%0.27%0.38%28.35%-1.77%
19972.55%3.82%3.12%1.56%8.42%0.27%-1.44%0.35%2.21%-4.93%2.31%3.85%23.78%-4.93%
   Monthly Return and $1,000 VAMI

PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS. TRADING FUTURES AND OPTIONS INVOLVES SUBSTANTIAL RISK OF LOSS AND IS NOT SUITABLE FOR ALL INVESTORS. AN INVESTOR COULD POTENTIALLY LOSE MORE THAN THE INITIAL INVESTMENT. AN INVESTOR MUST READ AND UNDERSTAND THE COMMODITY TRADING ADVISOR'S CURRENT DISCLOSURE DOCUMENT BEFORE INVESTING. SELLING OPTIONS INVOLVES UNLIMITED RISK OF LOSS. THERE IS NO GUARANTEE OF PROFIT NO MATTER WHO IS MANAGING YOUR MONEY. THIS MATTER IS INTENDED AS A SOLICITATION TO INVEST IN MANAGED FUTURES.


Ascent Capital Management
311 S. Wacker Drive - Suite 600 * Chicago, IL 60606
Office: 312-283-3350 Email: [email protected] | Web Address: http://www.ascentcm.com
© 1997 - 2025 AutumnGold.com LLC
Warrington Asset Management
Warrington Strategic Fund, LP
Report Start Date: Jan-1997 | End Date: Apr-2025
Time Window Analysis
Length Best Average Worst
1 mo 8.4% 0.7% -14.8%
3 mo 13.5% 2% -21.5%
6 mo 21.2% 3.9% -21.6%
12 mo 37.8% 8% -17.8%
18 mo 55.7% 12.2% -8.7%
24 mo 65.9% 16.5% -17.9%
36 mo 103% 25.1% -11.6%
Drawdowns and Recoveries
Start End Drawdown Recovery
Aug-08May-12-21.72%41 mo
Feb-01Jan-02-9.18%4 mo
Feb-07Sep-07-6.77%2 mo
Jan-08May-08-5.19%4 mo
Oct-97Dec-97-4.93%2 mo
Oct-99Jan-00-4.43%3 mo
Drawdown Periods Since Jan 1997
Distribution of Monthly Returns
Statistical Comparisons Warrington Asset Mgt
Warrington Strategic Fund, LP
AutumnGold
AG CTA Index
Remove
S&P 500
SP 500 TR
Remove
Annualized Compound ROR (1)7.85%7.65%9.36%
Cumulative Return751.34%708.39%1,160.92%
Cumulative VAMI(7)8,5138,08412,609
Best Monthly Return8.42%9.06%12.82%
Worst Monthly Return-14.81%-5.53%-16.80%
Annual Standard Deviation7.38%6.49%15.50%
Profit Loss Ratio2.712.661.62
Correlation0.160.08
Last Month0.80%-0.99%-0.68%
Last 12 Months1.72%-1.31%12.11%
Last 36 Months4.72%6.03%41.17%
Growth of $1,000 VAMI Comparison

PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS. TRADING FUTURES AND OPTIONS INVOLVES SUBSTANTIAL RISK OF LOSS AND IS NOT SUITABLE FOR ALL INVESTORS. AN INVESTOR COULD POTENTIALLY LOSE MORE THAN THE INITIAL INVESTMENT. AN INVESTOR MUST READ AND UNDERSTAND THE COMMODITY TRADING ADVISOR'S CURRENT DISCLOSURE DOCUMENT BEFORE INVESTING. SELLING OPTIONS INVOLVES UNLIMITED RISK OF LOSS. THERE IS NO GUARANTEE OF PROFIT NO MATTER WHO IS MANAGING YOUR MONEY. THIS MATTER IS INTENDED AS A SOLICITATION TO INVEST IN MANAGED FUTURES.


Ascent Capital Management
311 S. Wacker Drive - Suite 600 * Chicago, IL 60606
Office: 312-283-3350 Email: [email protected] | Web Address: http://www.ascentcm.com
© 1997 - 2025 AutumnGold.com LLC
Warrington Asset Management
Warrington Strategic Fund, LP
Report Start Date: Jan-1997 | End Date: Apr-2025
Accounting Notes

Prior to April 2015, the historical performance returns and other metrics provided herein are the composite returns of Warrington Asset Management LLC (the "Manager") representing both commodity pools and managed accounts. The returns are presented pro forma net of fees (2% management fee and 20% performance allocation) and all brokerage and trading related expenses and are based upon an assumed partnership size of $25 million. Future returns may differ due to type of investment product chosen, size of investment, contribution date and fee structure. The composite returns do not reflect the performance of any one account or pool. Individual accounts may have realized more or less favorable results than the composite results indicate. All indices referenced herein have not been selected to represent an appropriate benchmark to compare potential performance, but rather for reference purposes only. The indices have not been adjusted for the pro forma management and incentive fees or other expenses.

An Important Note on the Start Date and End Date of this Report

If the Start Date of this Report Predates the Inception of the Program, the Maximum Drawdown from Inception may be larger than indicated in this report. Performance Results reported or amended subsequent to Monday December 8, 2025 are not reflected in this Report. Monthly ROR and drawdowns are based on end-of-month values and do not reflect intramonth volatility.

Historical Drawdowns and Recoveries

The drawdown begins in the month listed as "start." Length is in months. Recovery begins the following month and ends when full recovery is reached.

Statistical Footnotes
1. The Annualized Compounded Rate of Return (ACROR) represents the compounded rate of return for each year or portion thereof presented. It is computed by applying successively respective monthly rate of return for each month beginning with the first month of that period. It smooths out the returns by assuming a constant growth.
2. Peak to Valley Drawdown = worst % loss between Jan-1997 and Apr-2025
3. Sharpe Ratio is calculated using a Risk-Free ROR
4. Sortino Ratio is calculated using a Minimum Acceptable ROR
5. Calmar Ratio uses the last 36 months of data
6. Sterling Ratio uses the last 36 months of data
7. VAMI = Hypothetical growth of $1,000
8. Drawdown/recovery: start = first loss, recovery = full return to prior peak

Benchmark Descriptions

AG CTA Index: The Autumn Gold CTA Index is a Non-Investable Index comprised of the client performance of all CTA programs included in the AG database and does not represent the complete universe of CTAs. CTA programs with proprietary performance are not included. Monthly numbers are updated until 45 days after the end of the month. Investors should note that it is not possible to invest in this index.

SP 500 TR: The S&P 500 indices are designed to reflect all sectors of the U.S. equity markets. The S&P 500 includes 500 blue chip, large cap stocks, which together represent about 75% of the total U.S. equities market. Companies eligible for addition to the S&P 500 have market capitalization of at least US$3.5 billion. The TR Index accounts for the reinvestment of dividends.

This report was prepared from trader-provided information and is believed to be reliable. It should be read alongside each Trader’s Disclosure Document or Fund Offering Document.

PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS. TRADING FUTURES AND OPTIONS INVOLVES SUBSTANTIAL RISK OF LOSS AND IS NOT SUITABLE FOR ALL INVESTORS. AN INVESTOR COULD POTENTIALLY LOSE MORE THAN THE INITIAL INVESTMENT. AN INVESTOR MUST READ AND UNDERSTAND THE COMMODITY TRADING ADVISOR'S CURRENT DISCLOSURE DOCUMENT BEFORE INVESTING. SELLING OPTIONS INVOLVES UNLIMITED RISK OF LOSS. THERE IS NO GUARANTEE OF PROFIT NO MATTER WHO IS MANAGING YOUR MONEY. THIS MATTER IS INTENDED AS A SOLICITATION TO INVEST IN MANAGED FUTURES.


Ascent Capital Management
311 S. Wacker Drive - Suite 600 * Chicago, IL 60606
Office: 312-283-3350 Email: [email protected] | Web Address: http://www.ascentcm.com
© 1997 - 2025 AutumnGold.com LLC
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