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Talton Capital Management, LLC is an investment and research firm that aims to achieve uncorrelated, differentiated, and hedged absolute returns by harvesting divergences between implied and realized volatility across asset classes. We continually apply our proprietary predictive model, which tells us at any given time and over any given volatility environment whether to be long, flat, or short (and in what size). Given the natural asymmetric returns generated by derivative products, we’ve built in multi-tier risk management solutions that allow flexible portfolio adjustments during mild risk events and maximum drawdown stops in the most severe cases. This is how we generate alpha.
We believe that the variance premium is highly predictable relative to other asset classes and that the implied volatility surface is a strong predictor of future realized volatility.
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