Cane Capital Management, LLC
Cane Capital Management integrates various time-tested models that provide exposure across multiple markets and asset types, providing a diversified portfolio of systematic trading strategies intended to generate consistent positive returns with low volatility and limited drawdowns. All of the proprietary models developed and used to execute Cane Alternative Strategies are based on our experience, decades of data points, rigorous testing, and executed with risk management discipline.
Our commitment to continuous research is developing new models to perform in multiple markets. Our models adapt to both long and short opportunities which enables the Fund to trade long and short in multiple markets simultaneously. In these multiple asset classes, Cane Capital Management, LLC (CCM) spreads risk and adapts across each different model and market.
Further deepening our advantage, our models are continuously in place trading in volatile, trending, and range-bound markets. This adaptability enables the models to achieve low correlation to one another.