Oyster Pond Capital Management®, L.P. ("Oyster Pond" or "OPCM") develops and manages a comprehensive suite of tactical investment solutions designed to fit into a wide range of portfolios for private investors and their financial advisors. Based in New York, Oyster Pond tactical investment strategies seek to enhance risk-adjusted returns by aligning capital with risk assets in periods of market strength, and by allocating to defensive assets in periods of market weakness. Our strategies are designed by an experienced team of individuals with strong quantitative backgrounds and who understand the responsibilities that come with professional asset management. Oyster Pond was formed to implement unique statistical asset allocation strategy. The methodology focused on finding ways to improve the odds that he could participate in the long-term trend of the market, while taking more conservative postures in the face of extended downturns.
Oyster Pond delivers a global suite of comprehensive tactical investment solutions that seek to generate enhanced risk-adjusted returns. Our strategies are designed to outperform in varied market environments, protecting capital in down markets while participating in up markets. Experience and Access. With continuous research and innovation, we are committed to creating ongoing value for our clients. We provide a range of tactical investment solutions, applicable to a wide range of institutional, private investor and individual portfolios. Culture of Excellence. Oyster Pond growth and success are a result of our disciplined investment philosophy, the diligent execution of our investment processes and the dedication to our team.
Oyster Pond has moved. We are now located at The Seagram Building, 375 Park Avenue, Ste 2607, New York, NY 10152.
Oyster Pond Fund, L.P. is now an Alternative Investment (NSA) eligible fund at TD Ameritrade - TDA Cusip: 69299T101