Argon Capital aims to take advantage of the structural inefficiencies of commodities markets to create superior risk-adjusted returns and scalable capacity for institutional investors.


We deploy in-house commodity-centric strategies that share a common, firm-wide, risk management framework

Multi-Asset Class

We bridge the information gap between commodity-related markets across Futures, Equities and Currencies

Privileged Access

Our expert portfolio managers are able to deploy niche strategies not generally available to institutional investors