Titan Capital Group was founded in February 2001 to manage portfolios utilizing volatility trading strategies. With a dedicated and well-known trading team experienced in trading large option portfolios, the firm has a proven track record of delivering superior performance during difficult market environments. The investment process is driven by rigorous quantitative analysis. Titan risk manages through scenario analysis by reviewing both probable and improbable events, always hedging tail risk. Over the Titan’s track record, the firm has never imposed gates on investors and provides complete transparency through weekly performance and risk reports. Titan utilizes liquid, listed products to generate consistent returns over long periods of time that provide additive value to a portfolio.