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smn Diversified Futures Fund

The smn Diversified Futures Fund is a globally investing managed futures fund. Launched in November 1996, the fund boasts a very long track record. Its investment universe currently includes over 200 markets across sectors such as currencies, interest rates, equity indices, agricultural commodities, energy, livestock, soft commodities, and synthetic markets (combinations of various market instruments).

Trading is conducted through exchange-traded futures contracts and OTC instruments (in selected currency markets due to higher liquidity). All trading activities are automated according to predefined rules of the trading systems without interventions by portfolio management. The disciplined implementation of the strategy is a significant strength of this approach.

Risk management holds a high priority in the development of our trading systems. All trading rules are designed to maintain individual market and overall portfolio risks within strictly defined ranges. The fund aims to achieve equity-like returns with minimal correlation to financial markets and an attractive risk/return ratio. The smn Diversified Futures Fund is a valuable addition to any portfolio.

The term "Managed Futures" refers to an asset class commonly associated with hedge funds. The investment strategy is based on a systematic quantitative trading approach using exchange-traded derivatives. Managers of managed futures funds are also known as "Commodity Trading Advisors - CTA", a designation derived from the early focus on trading commodity futures contracts. Since futures contracts can be both bought and sold ("short selling"), managed futures strategies can generate profits in both rising and falling markets.
The diversity of the traded markets enhances diversification and provides access to markets that are typically not included in a traditional investment portfolio.

All trading models employed by smn are based on medium- to long-term trend following. These models aim to identify trends in various markets using independent quantitative systems and translate them into profitable trades. Central to this approach is risk management, with the goal of achieving an optimal balance between return and risk.

smn Diversified Futures Fund

NAV as of 31/03/2025
307.85
MTD 03/2025
-2.18 %
YTD 03/2025
-7.24 %
Since Inception 01/11/1996
+323.63 %

smn Diversified Futures Fund
LU0070804173 / EUR / 1996
NAV as of 31/03/2025
1,073.44
MTD 03/2025
-2.00 %
YTD 03/2025
-6.74 %
Since Inception 30/01/2015
+7.34 %

smn Diversified Futures Fund
LU1132156156 / EUR / i14
 
upon request

smn Diversified Futures Fund
LU2430998620 / EUR / i22

Notice

Past performance of investment products is not a reliable indicator for future investment results of these products. Investments are always associated with risks. Prices may rise or fall. Possible subscriptions or redemption fees are not included in expressed the performance. This information is supplied without liability.

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Fund Facts

Legal Form:SICAV, Luxembourg
Custodian:CACEIS Bank, Luxembourg Branch
Investment Manager:SMN Investment Services GmbH (AIFM)
Clearing Broker:Societe Generale International Limited (UK)
Morgan Stanley Co. International PLC
Auditor:Deloitte S.A., Luxembourg
Local Tax Representation:Austria, Germany
Swiss Paying Agent:CACEIS Bank, Luxembourg Branch
ISIN:Share Category "1996": LU0070804173
Share Category "i14": LU1132156156
Bloomberg Code:Share Category "1996": SMNDIVF LX Equity
Share Category "i14": SMNDI14 LX Equity
Subscription and Redemption:each Friday (has to be a banking day in Luxembourg) and every last banking day of month; notice 3 days
Minimum Investment:Share Category "1996": EUR 100,-
Share Category "i14": EUR 250.000,-
Recom. Holding Period:min. 5 years