Perspective

Clear Capital Management—the advanced money manager delivering leading portfolio performance combined with true business transparency.

Clear Capital Management is a new kind of Money Manager—one that works to simultaneously maximize transparency, performance, and integrity. We don't accept the conventional wisdom that High ROI = High Risk. Rather, we focus on performance and protection of assets by demanding the same level of rigor we apply as engineers and scientists. 

Our perspective on the market and its workings presents unique opportunities for our clients. Here is a snapshot of how we work:

WORKING WITH RIA'S, INNOVATORS AND more

SILICON VALLEY STYLE CAPITAL MANAGEMENT

The Clear Capital Approach

Rigor. The Scientific Method. These are at the core of Clear Capital's approach. Founded by physicists and engineers, Clear Capital Management brings these values into all facets of our work. These values and technical backgrounds are well suited  for the challenges of navigating today's financial markets.

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Physicists, who are used to characterizing complex systems, not unlike today’s equity markets, have been making contributions to modeling finance for some time. Engineers developing solutions based upon models and insights are also required to thoroughly test product offerings well enough to pass many kinds of inspections and safety agency approvals before shipping a product or offering a service. High levels of professional rigor and due diligence are demanded of technical people to comply with industry standards. This same unrelenting rigor is the foundation of Clear Capital's approach.

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Rigorously Back-tested  

Scientists and engineers, each with additional qualifications in finance, devised our algorithms and tested them against 20-year performance results of the S&P 500. While past results cannot predict the future, they can demonstrate strategies that did and didn’t work. Our scientists use the Scientific Method to eliminate what we consider to be poor strategies and identify those strategies that we feel offer better returns. 

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The Power of Smarter Indicators

Our method of selecting investments utilizes proprietary algorithms. Using an accurate simulator consisting of over 90,000 lines of code to study past market performance, our approach is designed to be quicker at assessing risks and opportunities in real time.

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Smoothing Market Dips

The early detection of down markets is one of our foremost aims. In doing so, we endeavor to avoid giving up significant gains made during favorable market conditions. When our metrics indicate a protracted period of high risk, we protect the portfolio.