Agile Capital manages investment portfolios for institutions and individuals alike.
Our proprietary quantitiative and technical research aims to lower investment risk for clients in domestic and alternative markets.
Our firm is proudly owned by and employs Military Veterans.
Historically Lower Drawdowns
Active risk management is at the foundation of all our index strategies and portfolios with quantitative analytics that dynamically move to cash and sometimes and inverse holding in long sestemic market downturns.
Correlations change over time depending on the market environment. Agile's active managed indexes offer lower correlation to most existing investments, giving your clients the protection when its needed most.
Agile isn't just a name, it's a methodology. Agile manages dynamic indexes that rebalance more often to account for changing market conditions.
Built in Capital Preservation
Risk management is built into every Agile portfolio. We center our proprietary strategies and approach around this. Choose a risk class that best fits your investment goals.
Available in Every Asset Class
The Agile Methodology is not a one trick pony. Our research demonstrates that over the long term active risk management can make a meaningful difference across all asset classes
Robust and Anti-Fragile
Agile is one of the few tactical managers to incorporate inverse components. This offers the opportunity to profit even in market downturns.