Overview

I have been managing capital for about 25 years. I have spent the last 12 years developing a proprietary systematic investment strategy focused on long/short volatility. Volatility has advantages over other traditional asset classes in that it is range-bound, mean reverting and benefits from a substantial volatility risk premium tailwind that averages a few percent a month. Through risk management, and the ability to also trade volatility long, there is the potential to do far better than even that.

A fews ago, I combined forces with Peter Labon, an industry veteran who has managed billion dollar plus portfolios for Citadel and Pequot Management.
We have developed an extensive database with hundreds of millions of cells of data and analysis. We continue to refine our Strategy, and have improved risk-management. Together we are building a hedge fund, managed by our research and management company, BrightView Capital Management focused on our Volatility Strategy. We think this is easily an 100x opportunity over the next couple of investment cycles. A significant bear market can provide a 10+x opportunity over 18 months by itself. We have the experience, and expertise to capitalize on the opportunity in front of us.

We are looking for ways to expand our reach, and are open to discussing possibilities.

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