Performance

Acorn Diversified Program

Available through a Managed Account or the Acorn Diversified Trust

Total Return = 55.71%  Worst Drawdown = -43.30%

Performance Table
Disclaimer

PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS. THERE IS RISK OF LOSS. The Acorn Diversified Program is managed by Acorn Global Investments Inc. The performance here reflects the performance of the BTR Global Macro Fund from July 2005 – November 2008, which used the same investment decision maker, process, objective and strategy as the Acorn Diversified Trust has since commencing operations in July 2009. The performance includes a transition period between December 2008 – June 2009 where no trading took place. Records which document and support this performance are available upon request. The returns above are net of 2% management fees and 20% performance fees until September 2010 and 1% management fees and 20% performance fees thereafter. The information contained here, including estimates (e), is subject to change without notice and Acorn Global Investments Inc. will not be held liable for any inaccuracies or misprints. Important information about the Acorn Diversified Trust including risks, objective, strategy and fees is contained in the offering memorandum. This is not and may not be used as a recommendation or a solicitation.

Monthly Reports

 

 

Monthly Report                                   Monthly NAVPU

 

January                                                                                       January

February                                                                                    February

March                                                                                         March

April                                                                                            April

May                                                                                             May

June                                                                                             June

July                                                                                               July

August                                                                                        August

September                                                                                 September

October                                                                                      October

November                                                                                  November

 

On the first business day of each week, we will post the most recent estimated NAV and month-to-date return at the link below. When the timing coincides with month-end, we will wait to post the final numbers in the Performance Table and Monthly Commentary.

 

Weekly NAV Estimate

 

 

 

If you are interested in seeing Monthly Commentaries from July 2009 to December 2016, please contact service@acorn.ca.

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