Performance

The Costa Whyte hedge fund takes systematic long/short positions across the most liquid U.S. equity, treasury, hard commodity and volatility futures. From Melbourne and Sydney, our team brings decades of market-beating experience, targeting 50% annualised post-fee returns.

The fund serves as a return-seeking diversifier: uncorrelated to equity-market instability, resilient in periods of market stress, and capable of absorbing institutional capital flows without diluting target performance.

A comparison of $1,000 invested each in the fund, the S&P 500 Index, and a 5% high interest savings account.