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Cervino Capital Management LLC information. Emerging Traders offers a large list of Traders who we consider to be top trading talent. We offer support and service in order to help them grow.

About Mobius Asset Management
Strategic Partners

Energy Trading Program
The Mobius Asset Management Energy Trading Program combines both trend following and counter trend following within a systematic technical methodology. Trading decisions are driven by a proprietary multi-system approach that seeks to capture changes in short term and long-term price momentum. A strict money management discipline limits initial risk and manages ongoing risk. Each commodity traded has specific entry and exit points along with stop levels for existing positions that are updated daily.

Click here to see the December Performance Summary Update

Custom Trading Program
The Mobius Custom Trading Program is technical in nature and designed to detect early trend development. Markets are traded using a trend following and counter trend approach. Each market traded will generate its own entry and exit signals. From time to time, total number of markets and contracts traded will be based on increases or decreases in account equity or market conditions. Each position’s risk management parameters are updated daily to monitor volatility within the total portfolio. This program has the ability to add to existing positions and is shorter term in nature with a current average holding period less than two weeks.

Click here to see the December Performance Summary Update

Diversified Trading Program
The Mobius Diversified Trading Program is a diversified trading program both by products and trading methods. The Diversified Trading Program is technical and systematic. The Diversified Trading Program relies on multi systems combining long term trend following and counter trend methodologies together with short term systems that blends short term trading methodologies of Commodity and Financial sectors. The Program employs a proprietary risk management overlay that monitors position size (number of contracts and commodities) based on market volatility. Each position’s risk management parameters are updated daily and intra-day to monitor volatility within the total portfolio.

Click here to see the December Performance Summary Update


 

 

 

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