Turning Options into Opportunity
Independent asset management built by derivatives experts. We transform volatility into transparent valuable strategies designed for RIAs and individual investors.
Independent asset management built by derivatives experts. We transform volatility into transparent valuable strategies designed for RIAs and individual investors.
Derivatives aren't complications. They're precision instruments for defined outcomes in volatile markets.
Systematic strategies that harness market movement for income and growth.
Rule-based, transparent execution. Institutional rigor without black boxes.
Decades of derivatives expertise from former BMO Global Asset Management leaders.
The 60/40 portfolio is dead. Your clients need modern solutions. We provide the institutional derivatives expertise to deliver them.
Covered call and put-writing strategies generate systematic premium income from volatility itself—not interest rates or credit spreads.
Leveraged exposure using derivatives—not margin debt. High conviction positioning without liquidation risk.
Every strategy is rules-based and fully documented. You understand exactly what your clients own and why.
Our team built ETFs at BMO Global Asset Management and other leading issuers. We left legacy firms to design what the market actually needs—sophisticated derivatives strategies without corporate bureaucracy.
Independence means alignment. No quarterly earnings pressure. No conflicted distribution relationships. Just outcomes for investors and their clients.
Advisors hesitate at "derivatives." But options, executed systematically, aren't the risk—they're the solution to post-60/40 portfolio construction.
Read MoreMost covered call ETFs miss the opportunity. It's not just premium collection—it's systematic outcome design.
Read MoreThe question isn't whether 60/40 still works. It's what sophisticated allocators are building to replace it.
Read MoreSchedule a call to explore how Vega Capital Partners can support your clients' outcomes.
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