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.