We believe our shared success is dependent on how we execute as a team. We work together at identifying and capitalizing on various market opportunities; this is the core of Ronin Asset Management. We use advanced technical charting methods with a library of indicators for entry points. Along with top of the line technology, we are able to trade across a wide range of asset classes. All of our trading activity is for our own account and risk, and our methods and systems are developed solely for our use.
PREPARATION IS FUNDAMENTALAt Ronin, we believe in a team trading concept. We devise our trading strategy each day with a morning meeting. We share ideas in real time, all day long, so as not to miss a beat. We are all on the same team benefiting from one another.
Ronin seeks to identify and capture high probability opportunities in the US equities markets using the latest software and technology. Applying our experience, we have systematically developed various trading strategies that have consistently proven to outperform the market on a yearly basis. See Results. An integral aspect of Ronins business is our approach to risk management. By definition, as market professionals, we take financial risk. In order to do so confidently, we devote ourselves to understanding and measuring the risks associated with our trading strategies. Like our trading, our processes for managing risks are constantly improving and evolving, and are a critical component of our business.
Ronin Asset Management trades in a diverse set of asset classes and instruments, both domestically and internationally. These include derivatives, options, futures, and equities. Our trading strategies and methods vary greatly. Some of our operations are heavily dependent on technology and use complex algorithms, while others transact in more traditional ways on trading. In short, our strategies are diversified among asset classes and various types of instruments.