Cane Island Global Macro is a “best in class” absolute return strategy.  A macro strategy is one that looks at economic trends. “Global” means investing without regard to borders, economies, or politics. It could be stocks, bonds, real estate, precious metals, currency, or foreign investments. The approach is opportunistic and nimble, focusing on the use of highly liquid instruments.  Global macro stands alone as possibly the most flexible and opportunistic investment strategy.

Cane Island Alternative Advisors manages the assets of its founder and other qualified investors.  Because the founder's own money is also at risk, Cane Island emphasizes management of downside risk over reasonable horizons. In the four-plus years since strategy inception, it has exceeded the manager's expectations in terms of absolute and relative returns, downside risk mitigation, and consistency of results. Our investors pay no advisory, management, or performance-based fees and benefit from full transparency.

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Q2 2018 MANAGER COMMENTARY

Q1 2018 MANAGER COMMENTARY

ALL 2017 QUARTERLY UPDATES

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