Ron M S
About
Ron M S is from Madison, New Jersey, United States. Ron is currently Founder | Portfolio Manager | Hedge & Alternatives at Cambridge Capital Investments, LLC, located in Madison, New Jersey, United States. In Ron's previous role as a General Partner - Global Macro Hedge Fund - RMS Global Macro Fund, LP at Cambridge Capital Investments, LLC, Ron worked in until Jan 2018. Prior to joining Cambridge Capital Investments, LLC, Ron was a Co-Partner & Portfolio Manager - Monolith Global Macro Fund, LP at Cambridge Capital Investments, LLC and held the position of Co-Partner & Portfolio Manager - Monolith Global Macro Fund, LP. Prior to that, Ron was a Fixed Income Arbitrage - Hedge Fund at Bracebridge Capital, LLC from Apr 2000 to Jan 2002. Ron started working as Portfolio Management Associate - Global Macro Hedge Fund at Alpha Investment Management / Nicolas Berggruen Family Office in Jan 1996.
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Ron M S's current jobs
Cambridge Capital Investments (est. 2002) provides financial advice with integrity by getting to know the families we serve in order to help build better lifestyles, achieve specific goals and become their long-term stewards of wealth. My niche is managing proactively hedged, all-weather investment portfolios for risk discerning investors. Going beyond cookie-cutter & static asset allocation models, I add vital risk mitigation through a Dynamic Hedge Strategy (DHS). I have done this within a Global Macro Hedge Fund and currently in a Separately Managed Accounts (SMA) platform. The Hedge Fund scored within the top 5% during the credit crisis on CogentHedge database. #GlobalMacro focuses on identifying trends and inflection points amongst stocks, bonds, currencies and commodities within a global market mandate. MY FIRM: www.cambridgecapital.us ABOUT Astute investors benefit knowing that every economic cycle changes and is not simply static. For those discerning clients, we proactively navigate portfolios through the full business cycle (expansion and recession) amongst multiple global asset classes. DIFFERENCE Distinctively, we use Dynamic Hedging during opportune times to mitigate risk and capture opportunity when panic arises. Since a Bear Market or crash can void your financial goals, we attempt to conquer risk proactively. As the economic tides shift, we transition holdings to capitalize on both Bull and Bear environments, thus providing a worry free, all-weather solution for the long-term. WHY • Dynamic hedging • Bull & Bear agile • Expanded opportunity set • Intelligent capital efficiency • Independent, unbiased & aligned interest • Not sales focused, yet performance minded The calculus is simple, as you prosper, so do we.