Low Tide Capital Management company summary
Low Tide Capital Management is a company in the Investment Management industry. On LinkedIn the company has around 2 employees.
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About Low Tide Capital Management
Low Tide Capital Management is a global macro managed futures CTA. The strategy combines a successful track record as a discretionary portfolio manager with a model-driven framework honed over the last several years that focuses on market trend and momentum. The program uses systematic price-based models as an overlay on the manager’s views about how political, social, and economic forces can impact markets in unexpected ways. The program trades futures and options across all liquid macro asset classes with an emphasis on building an asymmetrical portfolio of highly convex positions across 2-5 unique themes that together can better withstand the short-term noise in modern markets. The strategy aims for high single digit returns during benign market conditions, while being geared towards the more interesting macro environments. The name, Low Tide Capital Management, is inspired by the manager's academic focus at UChicago on the bailout of the hedge fund Long Term Capital Management. The lessons of quantitative hubris, leverage, and moral hazards could soon be more important than ever. Disclaimer: There is a substantial risk of loss in futures trading, and it is not suitable for everyone. Past performance may not be indicative of future results. To be eligible to invest you must be considered a Qualified Eligible Person (QEP) under the terms defined by the Commodity Futures Trading Commission Regulation 4.7. Please contact us if you have any questions.
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Frequently asked questions about Low Tide Capital Management
What does Low Tide Capital Management do?
Low Tide Capital Management is a global macro managed futures CTA. The strategy combines a successful track record as a discretionary portfolio manager with a model-driven framework honed over the last several years that focuses on market trend and momentum. The program uses systematic price-based models as an overlay on the manager’s views about how political, social, and economic forces can impact markets in unexpected ways. The program trades futures and options across all liquid macro asset classes with an emphasis on building an asymmetrical portfolio of highly convex positions across 2-5 unique themes that together can better withstand the short-term noise in modern markets. The strategy aims for high single digit returns during benign market conditions, while being geared towards the more interesting macro environments. The name, Low Tide Capital Management, is inspired by the manager's academic focus at UChicago on the bailout of the hedge fund Long Term Capital Management. The lessons of quantitative hubris, leverage, and moral hazards could soon be more important than ever. Disclaimer: There is a substantial risk of loss in futures trading, and it is not suitable for everyone. Past performance may not be indicative of future results. To be eligible to invest you must be considered a Qualified Eligible Person (QEP) under the terms defined by the Commodity Futures Trading Commission Regulation 4.7. Please contact us if you have any questions.
How many employees does Low Tide Capital Management have?
Low Tide Capital Management has around 2 employees on LinkedIn.
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