CSC Fund 1

CSC Fund 1 ("CSC") is a High Yield, Mitigated Risk Investment Company managed by CSC Advisors LLC.CSC Advisors values our service to both domestic and abroad investors, with Preferential guaranteed returns of 2% per month.*

CSC's main focus is financial and trading strategies that seek alpha returns, including but not limited to algorithmic trading run on large, liquid, listed asset classes such as ETFs, US Treaties, currencies or equities. CSC works with a series of global banks to ensure that its investment strategies are executed in a controlled manner, and operational risks are mitigated by the infrastructure of these large organizations, where appropriate.

* Forward-looking statements do not guarantee future performance or results.

Legal and Administrative Structure

01

Legal Structure

CSC is structured as a Wyoming limited liability company, designed to offer privacy, tax advantages, and strong asset protection. We operate under Regulation D, Rule 506(c) - general solicitation permitted; acceptance requires third-party or documented accredited-investor verification.

02

Fund Administration

A dedicated management team oversees all fund operations, including trading, reporting, and member support. Our administrative processes include weekly updates and monthly/quarterly distributions.

03

Risk Mitigation Strategies

Daily stop-loss measures, and conservative trading strategies minimize risk while maintaining liquidity and flexibility for members.

04

Liquidity

Members have monthly liquidity after an initial 60-day period, and withdrawals are settled within 30 days. We ensure transparency and flexibility in funds access.

05

Distribution Management

We prioritize member returns. The first share of returns are distributed directly to members/investors on a monthly basis.

Our Strategy

Proprietary Models

  • Standard Deviation Models detect short-term currencies overextensions.
  • Regression Models highlight trends and reversal zones.
  • Sentiment Analysis identify retail traders trends and misalignments with institutional trading patterns.

Trade Selection

  • Highly selected 2 to 4 high profitable trades per day, only high confidence level based on:
  • Tangent lines for short-term trends
  • Wave function smoothing for trend accuracy.
  • Single Spectrum Analysis (SSA) for near-term forecast trends

Redundancy and Scalability

  • Proprietary tools ensure seamless operation for high-frequency trades.
  • Redundant Trading platforms available

Risk Management

  • Diversified portfolio
  • Hedging through negatively correlated pairs.
  • Adaptive trade management with leverage and stop-loss adjustments based on market conditions.

Scalping Strategy

  • Scalping strategy provides for more frequent trading opportunities, lower risk per trade, and reduced market exposure.