Bontiva Capital

Systematic Volatility & Multi-Asset Strategies

Chicago-based quantitative investment firm deploying proprietary strategies across derivatives and multi-asset markets, with a disciplined focus on risk-adjusted returns across all market regimes.

What We Do

Volatility Strategies

Expertise in options volatility, gamma scalping, and convexity-driven portfolios across equity index derivatives.

Multi-Asset Trading

Spanning interest rate derivatives, fixed income basis trades, equity options, and digital assets.

Quantitative Infrastructure

Proprietary execution systems, real-time analytics, and systematic signal generation built in-house.

Risk Management

Regime-aware frameworks that dynamically adjust exposure across correlation regimes and tail scenarios.