CK Capital Managment is a Investment multi-strategy fund manager. Founded in 2015 by Qaseem, Qaseem believes that the path to long term success in wealth building in global financial marketplace is with cutting edge Sytamatic quality research, Understandiung where and when to allocate partof yourcapital into out performaing industries. And diversified return sources.
CK Capital Managment manages client assets utilizing strategies grounded in economic theory and robust data. Our main objective is to achieve superior absolute returns and risk-adjusted alpha across a wide range of market environments with little correlation to the overall stock market & other hedge fund strategies, all the while providing a liquid and scalable investment vehicle to our investors.
Preservation of investor capital is Qaseem's top priority. We stand by this view through our actions by offering a performance fee structure that ties our performance fee percentage to our return's Sharpe Ratio. This ensures that CK Capital’ incentives are aligned with investors; we get paid for taking smart risk, not absolute risk.
Hedge funds, commodity pools and other alternative investments involve a high degree of risk and can be illiquid due to restrictions on transfer and lack of a secondary trading market. They can be highly leveraged, speculative and volatile, and an investor could lose all or a substantial amount of an investment. Investments may lack transparency as to share price, valuation and portfolio holdings. Complex tax structures often result in delayed tax reporting. Compared to mutual funds, hedge funds and commodity pools are subject to less regulation and often charge higher fees. Investment managers typically exercise broad investment discretion and may apply similar strategies across multiple investment vehicles, resulting in less diversification. Trading may occur outside the United States which may pose greater risks than trading on U.S. exchanges and in U.S. markets. PAST RESULTS ARE NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.