Aire Capital Management LLC

CTA / Program YTD Inception
0.00 1/1/2012

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

Aire Capital Management LLC is a commodity trading advisor that studies financial markets with the goal of developing and implementing strategies to generate better than average growth to investment portfolios. Aire Capital Management, LLC’s trading strategies seek to be flexible enough to profit in rising markets as well as declining markets. (The potential for loss is, of course, also equal.) Additionally, Aire Capital Management, LLC trading strategy has the potential to perform well in both inflationary and deflationary periods (unlike stocks). ​The Aire Capital Management, LLC strategy is based on the belief that investments in stock indexes, not individual stocks or sectors, hold more possibilities for growth than trend following and “buy and hold” strategies. Aire Capital Management, LLC believes that their approach to investing will continue to be more effective in repairing the damage that was caused to portfolios by the bear market beginning in 2007 and in generating growth to new portfolios. The markets do not operate in a static environment. They are constantly changing. In order for Aire Capital Management, LLC strategies to continue to work it is necessary to continually evaluate where we have been and where we are going and adjust accordingly. After assessing both fundamental and technical conditions of the market Aire Capital Management, LLC then ascertains the best strategy. At the present time Aire Capital Management believes that the Trading of “ around the money “ options of the S&P 500 futures index couple with a systematic futures trading program is the best strategy. Proper money management is imperative to the long term success any portfolio. We understand the importance of this issue and are constantly implementing proper money management techniques. We are continually analyzing the markets to ascertain the risks. Risk assessment and money management work together. There are times when we are actively positioned in the markets and times when we are not depending on Aire Capital Management, LLC opinions of the risk assessment. Although risks cannot be eliminated and profits cannot be guaranteed through money management and risk control, these two steps are vital for the long-term growth we wish Aire Capital Management, LLC clients to attain. At present, the main strategies that best meets Aire Capital Management, LLC criteria for effective growth to risk management is one that focuses on the trading ( buying and selling) of “near the money” options using the S&P 500 Futures contract as well as systematically employing a futures trading program. These 2 strategies will be used in conjunction which each other. The goal of these 2 strategies combined is a return between 12%-18%. Aire Capital Management requires an initial minimum capital amount of $50,000.There is no guarantee that past performance will be the same as future performance. There is no guarantee that we will achieve the goals we have set in the future. The goals should be used in conjunction with the amount or risk associated with the program.
Portfolio Manager
Kevin MacLean
Type
Commodity Trading Advisor (CTA)
Registrations
NFA 0434789
Location
United States of America