In trading the Methodology, the Unicorn Pairs Fund, LP maintains strict Risk Management (§ 5.4) and Money Management (§ 5.5) disciplines for each trade. The Methodology is to identify bullish and bearish stocks and pair them based on the proprietary pairing coefficient model and charting technique. The proprietary model optimizes the pair’s behavior and provides finite trading opportunities with specific entry points, Risk Management and Money Management disciplines.