Managed Futures Investments
Silicon Valley Quantitative Advisors
     

Silicon Valley Quantitative Advisors (”SVQuant”) is a highly specialized investment management firm which seeks to achieve long-term capital appreciation and excellent risk adjusted returns for its clients through the speculative trading of exchange-traded commodity futures.

SVQuant is registered as a Commodity Trading Advisor with the National Futures Association (NFA) and a registered member of the Commodity Futures Trading Commission (CFTC).

 
EXPERIENCE ROOTED IN RESEARCH
Research
Dr. Marc E. Levitt, the Founder and CIO for SVQuant,
has been involved in financial research and the development
of quantitative software for trading professionals since 1996.
 
   
THROUGH THE EYES OF A QUANT TRADER
Research
SVQuant's Marc E.Levitt shares his insights through various
interviews, news releases, and publications.
Privacy | Disclaimer | Tel: +1 408 623 6388 | Email: info@svquant.com
© 2014 Silicon Valley Quantitative Advisors

This website does not constitute an offer to sell, or a solicitation of an offer to buy or sell, any commodities interests, managed futures accounts or securities, and is intended for informational purposes only. Any offer for any investment product will be made solely by the appropriate disclosure document or offering memorandum. Silicon Valley Quantitative Advisors does not make any representations as to the accuracy or completeness of any data or information contained herein and such information should not be relied upon as such. Some data and information presented on this site may have been obtained from outside sources.

Alternative investments products, including hedge funds and managed futures, involve a high degree of risk. Alternative investments performance can be volatile. An investor could lose all or a substantial amount of his or her investment. Alternative investments, including managed futures, often execute a substantial portion of their trades on non-U.S. exchanges. Investing in foreign markets may entail risks that differ from those associated with investments in U.S. markets. Past performance is not indicative of futures results.