Fact Sheet - Performance as at Apr 2026
ECCM Systematic Trend Fund
Fact Sheet
Performance as at Apr 2026

Manager Summary

East Coast Capital Management (ECCM) is a quantitative fund manager based in Sydney, Australia. ECCM's trading involves dynamic asset allocation across over 80 diversified and liquid futures markets. Markets traded include equity indices, government bonds, short term interest rates, currencies and commodities. ECCM's trading strategies seek to exploit persistent trends in these markets. ECCM was founded in 2008 by Adam Havryliv. Adam has over 15 years of trading experience in derivative markets and across a wide range of market conditions.

Strategy Summary

ECCM's Systematic Trend Fund (STF) trades a proprietary directional futures model that capitalises on long term adjustments in the risk premia associated with global asset markets. The system profits through the speculative trading of over 80 international futures markets including over equity indices, short term interest rates, long term government bonds, currencies and commodities. ECCM STF's trading program is expected to show a low correlation with traditional investments, enabling investors to diversity a traditional investment portfolio of stock, property and bonds.

Key Terms

Status: Open Inception Date: Jan 2020
Strategy: Managed Futures Style: N/A
Geography: Global Domicile: Australia
Investors: Wholesale Min. Investment: AU$ 100,000
Distributions: Annually Applications: Monthly
Fund Size: AU$ 7m Management Fee: 1.30%
Manager FUM: AU$ 10m Performance Fee: 20.00%

Key Statistics

Fund Index* Fund Index*
Apr 2026: 4.47% 2.85% Sharpe1: 0.91 0.54
1 Year: 28.34% 24.36% Sortino1: 1.52 0.76
3 Years2: 12.27% 5.17% Best Month1: 11.50% 9.67%
5 Years2: 11.78% 7.59% Worst Month1: -9.40% -7.73%
Inception1,2: 14.74% 8.10% Volatility1,2: 13.59% 11.15%
Up-Capture1: 109% N/A Down-Capture1: 67% N/A
*SG Trend Index,   1Since Jan 2020,   2Annualised

General Notes

ECCM STF continues the track record of the ECCM Systematic Global Macro (SGM) Fund which operated between Jan 2020 and Jun 2023. Both funds have implemented ECCM's proprietary systematic, diversified, trend following futures trading strategy. Returns from Jan 2020 - Jun 2023 are those of the ECCM SGM.

Cumulative Returns
Fund Index

ECCM Systematic Trend Fund - Cumulative Performance vs SG Trend Index

 

Drawdowns
Fund Index

Drawdown%

 
Fund Index

Quintile Ranking vs. Alternatives Peer Group (122 funds) as at April 2026

1 Year
3 Year
5 Year
7 Year
ECCM Systematic Trend Fund
RBA Cash Rate + 3%
Quintile Rankings display Key Performance Indicators (KPI's) against the fund's Peer Group. Each green square ranks the fund in one quintile (or 20%) of its peer group - five green squares indicate the fund is in the best quintile for each KPI. The performance of the peer group's underlying index is shown by a red dot.