The McMillan Edge
McMillan Asset Management provides a research-intensive strategy backed by significant live trading history
- Extensive experience managing risk through all major market cycles – from the “Nifty Fifty” period of the 70’s and subsequent long bear market that followed, through to today’s QE induced bull market
- A deep understanding of trade structuring and the unique behavior of options around large market moves
- Repeatable, rules-based trading approach that removes emotion and “opinion” from the process.