SEC CRD #802-134633
WARSHAW ASSET MANAGEMENT LLC ADD ANYTHING HERE OR JUST REMOVE IT… WARSHAW ASSET MANAGEMENT Menu Important Disclosures WAM DIVERSIFIED VOLATILITY platform is an absolute return relative value strategy that CIO, Bill Warshaw, has implemented over several decades through bull and bear market cycles. We seek to generate attractive risk-adjusted returns through non-correlated option profiles. Click here ABOUT WARSHAW Warshaw Asset Management, LLC is a diversified relative value equity volatility manager. Our diversified vol strategy trades multiple volatility strategy buckets (long vol, realized vol arb, short vol and tail risk) in order to perform well in a wide variety of volatility environments. Our catalyst-driven approach incorporates macro, fundamental and quantitative research to identify volatility dislocations that we can capture through attractive reward/risk option trade structures. We trade volatility, not price, and so are structurally non-correlated to traditional risk assets and equity l/s portfolios. While most managers loathe it, we thrive on uncertainty. LEADERSHIP WILLIAM H WARSHAW FOUNDER & CIO RAJPAL ARULPRAGASAM CHIEF OPERATING OFFICER William H Warshaw Rajpal Arulpragasam TEAM TEAM MEMBER EQUITY ANALYST TEAM MEMBER ASSISTANT TRADER TEAM MEMBER EQUITY ANALYST TEAM MEMBER SENIOR TRADER APPROACH We seek to invest and manage based on certain core principles. DYNAMIC CAPITAL ALLOCATION among a changing group of strategies and portfolio managers as market opportun
AMALENDRA R ARULPRAGASAM
COO
📞 (917) 821-4436
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