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  • Winoma Capital
    WFX Growth

    Principal(s): Joaquin Olivera
    Strategy: Trend Following / FX
  • For Additional Information Contact Sweet Futures
    Toll Free: 1-800-661-5618
    Direct: 1-312-216-5701
    Email: [email protected]
  • Start Date: Oct-2018
    Nov Return: 2.44%
    YTD Return: 12.44%
    Annual CROR: N/A
  • Worst Drawdown: -14.87%
    Losing Streak:
    Sharpe Ratio: 2.00
    Calmar Ratio: 1.21
  • Min Investment: $100,000
    Currency: US Dollar
    Notional Funding: No
    NFA Number: 0524740
  • Margin: 50:1
    Mgt Fee: 1.0%
    Incentive Fee: 25.0%
    Round Turns: 0
  • Trading Strategy: The investment objective of Winoma Capital is to create a positive economic impact to our clients and investors by delivering absolute returns regardless of economic market conditions and their cycles. Through our algorithmic investment strategies, we generate a consistent return stream with small correlation to core asset classes like stocks bonds indices and real estate. Our strategy seeks to achieve its goal by actively trading in the most liquid G10 currencies. We develop and employ proprietary FX strategies and algorithms designed to capture optimal momentum and maximizing benefits in the foreign exchange markets Risk Strategy: Minimizing the risk and exposure is a key factor to our success having a full control of our portfolio in order to better protect our clients’ funds. Our algorithms monitor and strictly manage the risk of each trade, sector risk and the overall account position.

    Accounting Notes: Please note that performance results are generated trading outside the US with a Non-US trading account. The largest intra-month drawdown was 45% in August 2022.
  • Trading Methodology
    99% Systematic
    1% Discretionary
  • Trading Style
    100% Trend Following
  • Style Sub-Categories
    Quantitative
    Long Short
    Algorithmic
  • Holding Period
    100% Short Term
  • Sector:
    Contracts: Forex
  • Market Allocation
    100% Forex
Recent Performance - Start Date of Program October 2018 - Based on Proprietary Trading

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov DecROR* Max DD
2024 1.43% 0.78% 0.68% 1.01% 0.78% 0.64% 0.55% 1.36% 0.96% 1.81% 2.44%   12.44% 0%
2023 2.10% 0.70% 1.09% 0.70% 1.69% -0.55% 0.60% 0.70% 0.30% 0.95% 1.68% 1.60% 11.56% -0.55%
2022 1.76% 4.38% 8.32% 2.80% 2.12% 4.80% 3.72% -14.87% 1.27% 1.53% 8.21% 0.80% 24.84% -14.87%
2021 1.76% 1.13% -1.20% 3.35% 1.74% 1.25% 1.08% 0.29% 0.14% 0.66% 3.08% 3.19% 16.47% -1.2%
2020 1.72% 2.15% 16.73% 1.81% 4.41% 11.99% 1.75% 2.19% 2.51% 0.27% 4.22% 1.81% 51.56% 0%
2019 3.67% 1.02% -0.13% 3.18% 2.14% 0.52% 2.95% 1.18% 2.41% 2.81% 0.90% 0.97% 21.62% -0.13%

*The Annual ROR performance has been calculated by adding each monthly return. Please See Accounting Notes Below.


PAST PERFORMANCE DOES NOT GUARANTEE FUTURE SUCCESS. THERE IS A RISK OF LOSS IN FUTURES TRADING.

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Track Record Prepared By: Compliance Supervisors


Footnotes:

(C) = Client Trading Results
(P) = Proprietary Trading Results
(P&C) = A Combination of Proprietary & Client Results.

Current Drawdown - The Current Losing Streak of the CTA, if any.

Worst Drawdown - The Worst Drawdown reflects the greatest loss from Inception. Worst Drawdown can be defined as the potential cost of higher return.

Annual Compound Rate of Return - The Annualized Compounded Rate of Return represents the average return of the CTA over the time frame of the report. It smoothes out returns by assuming constant growth.

Calmar Ratio - The Calmar Ratio - Calmar Ratio represents the historical amount gained for each dollar risked. A higher number is better. Unless otherwise denoted the Calmar Ratio is calculated by dividing the 36 month Compounded ROR by the 36 month Peak to Valley Drawdown. Traders with less than 36 months of data or a negative Calmar Ratio will be indicated by N/A.

Sharpe Ratio - The Sharpe Ratio is a risk-adjusted ratio that rewards consistency of returns. Traders are penalized for volatility regardless of whether it is on the up or downside. The Sharpe Ratios is calculated using a 1% risk-free rate of return.

Round Turns - Represents the annual number of Round Turns per $1 million.