M&c Capital Management
M&C Capital Management is a U.S-based hedge fund specializing in SPX option trading on the S&P 500. We came together with a shared vision: to introduce a truly niche investment product—one with a unique risk profile and correlation unlike anything currently available. Our fund is built for accredited investors seeking an alternative strategy that isn’t tied to the ups and downs of traditional markets. Using a market-neutral approach, we aim to deliver consistent, compounded growth, regardless of market conditions. With a target beta of 0, our strategy is designed to be uncorrelated to major indices, potentially offering a hedge against economic downturns. When volatility surges and markets decline, we see opportunities where others see risk. What sets us apart is cost-efficient hedging. By leveraging SPX options, we manage risk with unmatched flexibility and efficiency—optimizing hedging costs without sacrificing returns. Unlike traditional equity-based strategies, our approach ensures that our portfolio remains protected even in adverse market conditions. At M&C Capital Management, risk management isn’t just a practice—it’s our foundation. Our strategy is built on data-driven, systematic trading models refined over decades. Every decision is guided by strict mathematical principles, eliminating speculation and emotion from the equation. We don’t follow the market. We structure it—strategically, systematically, and with precision.
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Gary Kerdus
Vice President · General Business & Management
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Jim Riggio
Chief Investment Officer · Finance & Accounting
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- 1m & c capital management
- 1vice president
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