We provide investors with an opportunity to invest differently
Who We Are
Our belief: Risk-adjusted returns can be gained by using a combination of fundamental and technical strategies. Our proprietary system deploys multiple systematic strategies simultaneously in order to diversify and realize short- and long-term gains with a diligent concentration on risk management.
Our expertise: With more than 40 years of combined trading experience and systematic program development, we offer our clients a unique skillset aimed at generating optimal results.
Our Strategy: VIX Capital’s Multi-Strategy Fund uses 2 distinct trading methodologies:
- The Long/Short Segment of the strategy applies both fundamental and technical analysis which is intended to produce superior risk-adjusted returns, maintain low volatility and position the fund to perform well, regardless of market conditions.
- The Systematic Options Segment of the strategy is designed to generate a smooth equity curve and generate returns uncorrelated with the general stock market (S&P 500).