Ravinia Investment Management

CTA / Program YTD Inception
11.11 4/1/2019

Past performance is not necessarily indicative of future results. The risk of loss in trading commodity futures, options, and foreign exchange (“forex”) is substantial.

CTA Introduction

Ravinia Investment Management is a quantitative CTA founded in 2016. Ravinia’s Algorithmic Multi-Strategy Program seeks to provide long-term positive returns with low correlation to traditional asset classes, such as stocks and bonds. Ravinia employs quantitative, systematic trading models across a range of liquid futures, equity index futures and treasury futures. These markets are traded with multiple proprietary independent trading systems to diversify across market, time frame and trading strategy.
Portfolio Manager
Kyle Schultz
Type
Commodity Trading Advisor (CTA)
Registrations
NFA 0500489
Location
United States of America