Derivatives

CORE PHILOSOPHY

RISK MANAGEMENT

At the core of our trading philosophy is risk management, with the systems and control methodology in place to mitigate risks, while maximizing returns. Our fund management model is built upon identifying, understanding, and exploiting market movements. The fund structure incentivizes the preservation of capital and a measured approach to risk, which has created a culture of responsibility and accountability.
Our derivatives fund is privately held and capitalized by and with March Group, LLC assets. No external capital is solicited nor accepted for introduction into the fund, nor are our commodities brokerage clients and partners encouraged to participate as a condition of engagement. The purpose of our fund is to serve as a “hedge,” to balance company assets during shifts in the commodities trading market space.  
We know commodities, and we are dedicated, driven, and determined to deliver the highest level of client service in the brokerage industry

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