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INVESTMENT STRATEGIES

Our strategies at Saltare Capital Management focus on positive returns with low volatility. We look to deliver positive absolute returns by taking long and short positions in equity and equity-linked instruments that, based on proprietary quantitative models, are deemed to be either undervalued (and likely to increase in price) or overvalued (and likely to decrease in price).

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At Saltare Capital Management, the first funds launched offer an alternative to more traditional stock, bond, or balanced funds. The funds may have lower volatility and operate independently of market direction.

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Prospective or current investors can contact us regarding any of the funds listed below by email or phone here.

Systematic

Investing

Transparent Implementation

Multidisciplinary Approach

SALTARE ABSOLUTE RETURN FUND

  • Potential diversification agent to Large Capitalization Equity portfolio allocations

  • With a multi-strategy investment approach, the fund will seek to achieve long-term capital appreciation while also minimizing downside exposure and maintaining relatively low correlation to equity indexes

  • The fund's strategies allow it to achieve low correlation with the U.S. equities market, yet outperform the S&P 500 by capturing alpha through alternative sources of return that are not directly tied to the performance of the market

  • The fund is a long-short equity strategy

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