Patronus Capital is an Alternative Asset Manager with a focus on volatility assets. We use proprietary models that aim to capture idiosyncratic opportunities in a variety of markets. We specialize in options and futures on highly liquid exchanges. Our strategies typically carry a medium term time horizon and we provide active management with the goal to optimize risk adjusted returns.
Patronus Partners are dedicated to leveraging their knowledge of high frequency trading, for the wealth creation and preservation for our investors.