Fund Data

CLASS A

Date: as of August 31, 2015
NAV:$9.68                    Change: $(0.07)
Ticker: MFBPX

CLASS I

Date: as of August 31, 2015
NAV: $9.84
Change: $(0.08)
Ticker: MFBTX

Key Features

  • The fund is designed to capture the dynamics of managed futures investing.
     
  • Medium-to-long term trend-following module seeks to capture correlation to CTA indices.
     
  • Counter-trend module improves portfolio convexity while potentially enhancing returns.



       
Aspen Managed Futures Strategy Fund (MFBTX)                  Fourth Anniversary - August 18, 2015 | Download PDF
 

Partners

Advisor:
Aspen Partners, Ltd.
www.aspenpartners.com

Administrator:
ALPS Fund Services, Inc.
www.alpsinc.com