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Rayne Capital
is a macro driven
long short asset
manager that invests
predominantly in
US markets.
Shadow

Rayne’s Mission

is to maximize returns in both up and down markets. We aggressively trade around our core long and short positions within liquid securities. Rayne is willing to take on additional volatility with the expectations of seeing outsized returns from our long and short positions.

Rayne’s Returns

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* Rayne Capital LP returns are for Class A Master Series.
Rayne Capital LP returns are for Class A Master Series. Rayne’s returns are net of fees. Rates of returns are based on the time-weighted rate of return (TWR).
The indicated rates of return are the historical annual Internal Rate of Returns (IRRs) net of fees (except for figures of one year or less, which are unannualized). The return includes
changes in security values, and do not consider sales, redemption, distribution, or income taxes payable by any securityholder that would have reduced returns.
Read Notes For Returns »

Rayne’s Service Providers

Legal Counsel:

Administrator:

Auditor:

Accounting:

Compliance:

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