SPECIAL OPPORTUNITIES FUND

Historical Results

Performance Summary (Net) - Cumulative Return Since November 2005: 257%

Time period 4y 9m
Average monthly return 2.11%
Average annual return 19.42%
Average monthly profit 10.32%
Average monthly loss -3.71%
Best monthly return 73.90%
Worst monthly return -14.19%
Winning months 24
Losing months 33
Winning to losing ratio 0.75
Largest drawdown -24.84%
Worst drawdown (time underwater) 16 months
Worst drawdown (recovery period) 1 month

This performance data is for general information and indicative purposes only and shows the performance of two futures accounts at MF Global UK Ltd, which were traded by MFS using a similar systematic trend-following strategy as ECU's Special Opportunities Managed Account programme, between November 2005 and December 2010.

The returns are based on an Investment Size for each account of £200,000, or twice the margin amount deposited and are net of annual management fees and quarterly performance fees of
2% and 20% respectively.

These figures have been independently verified by Royden & Co.

Past performance is no guarantee of future performance .

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