Investment Management - Clarksburg, Maryland, United States
At ZXC Capital we implement active investments and risk management strategies in all dynamic market conditions in the futures and commodities segments. With our active systematic strategies, we constantly monitor directional momentum in long, short and ranging trends to optimize high trading opportunities. This allows us to take quick action in major directional market changes. Since risk is inherent, we take risk and position sizing seriously to ensure that our capital has minimum drawdown exposure. Part of our risk management strategy takes into account both measured and unexpected changes in the market direction. Therefore, we incorporate primary and secondary exit strategies in all our positions, which factors in contract size, YTD max drawdowns, initial margin and current capital investment. ZXC Capital's only objective is to create consistent absolute returns and wealth.