Founded in 2007, Cane Capital Management is a research-driven investment management firm specializing in commodities, mitigation banking and conservation management. Our rules-based approach and focus on active risk budgeting are grounded in our objective to build investment strategies that increase potential return, protect investor capital, and minimize risk in volatile markets.We engage our proprietary quantitative models and non-correlated strategies to make long and short investments, diversified across stocks, bonds, currencies and commodities, primarily in a portfolio of equities and futures contracts and futures-related instruments, swaps and options. Cane Capital also specializes in mitigation banking and wetland conservation through out the Southeastern Gulf Coast. We have a dedicated team that has opened multiple mitigation banks with a successful history of non correlated returns in the commodity space. Cane works with institutional and family office investors in this area of investments to help diversify their portfolios and fulfill their ESG mandate. www.caneglobal.com