RL Capital is a global alternative asset manager which specializes in the development of systematic investment strategies. Our philosophy is that above-average absolute and risk-adjusted returns can be best achieved by employing rigorously tested quantitative models across a broad range of markets. Utilizing models which invest in global futures and commodity markets as well as stocks allows for exposure to several non-correlated instruments aimed at providing a superior risk/reward tradeoff.
Robinson-Langley Capital Management, LLC is registered with the Commodity Futures Trading Commission (CFTC) as a commodity trading advisor (CTA) and commodity pool operator (CPO) and a member of the National Futures Association (NFA) in such capacities. Current product offerings include the RL Capital Diversified Program and a privately offered commodity pool. In addition, RL Capital has designed trading systems utilized by various traditional and alternative asset managers.
RL Capital manages assets for retail, institutional and high net-worth investors across North America, South America, Europe and Asia.
RL Capital’s Drawdown Study was featured in the November 2010 edition of Managed Futures Today Magazine. Click here for the article.
RL Capital’s methodology is based on applying time-tested principles to an advanced research process. In our view, long-term investment success is predicated on cutting losses, riding winners, and following a rigorously tested and well-researched plan. Our quantitative, price-based trading models are built on these principles providing, in our opinion, the largest opportunity..
Trading futures and options involves substantial risk of loss no matter who is managing your money and is not suitable for all investors. Past performance is not indicative of future results.