About Us

Meet the Team

 

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.

RL Capital views its role with clients as one of fiduciary and stewardship.  We view each client as a long-term relationship just as we view our fiduciary responsibility of growing assets from a long-term perspective.  Customer service is of vital importance which is why we strive to keep a constant information flow between us and the client as well as maintain total transparency across our trading and operations. Current clients are pleased at not only the performance of their investment, but the quality of service they receive and the unrestricted accessibility to RL Capital managers. 

 

 

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.