With the experience, track records, and
assets under management, ADF has nearly unlimited capacity. In an alternative
asset world of an estimated $700 billion, no allocation is too large.
Our managers are highly disciplined
adhering to stringent Risk-Management parameters. These parameters provide
balance with the flexibility to modify allocations, portfolio weighting,
position size, and trade execution.
ADF does not
employ completely discretionary techniques. All trading
methods are systematic, removing the behavioral biases which
allow for a strict investment process that we believe has
historically resulted in very favorable results.