Proprietary / Delta Neutral Trading Strategies
Bolton creates actively managed investment funds employing strategies whose objectives will be to provide capital preservation and superior risk-adjusted rates of return that are uncorrelated to traditional asset classes.
Proprietary / Delta Neutral Trading Strategies
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Bolton offers clients the opportunity to invest in low-risk, delta neutral proprietary strategies that are primarily aimed at opportunistically extracting value from pricing inconsistencies or structural inefficiencies within global cash equity, equity derivatives and equity finance markets.
Bolton’s North American platform and expertise has produced a track record of success in exploiting the inefficiencies between equities, derivatives and the corresponding equity finance market for U.S., Canadian and International equities. The provision of these alternative asset trading strategies is noteworthy in the ability to generate low-risk returns that are uncorrelated to equity market performance.
The key edge in successfully implementing these unique strategies is the extensive experience of Bolton’s professionals in trading, derivatives, securities lending, operations, regulation and finance.
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