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Founded in 2008 by Donald Wieczorek, Purple Valley Capital, Inc. (“PVC”) is an asset management firm that offers professional money management to institutions and high net worth individuals by trading a diverse group of futures markets. Our primary objective is to use our systematic risk management strategy to capture large market trends around the world in order to provide investors long-term capital appreciation with very low correlation to traditional investments. Please visit each section of our website to learn more about the potential benefits of diversifying your portfolio with PVC.
Donald Wieczorek is the Founder and President of Purple Valley Capital, Inc. He started his career in finance at JPMorgan as a summer analyst in their Equity Capital Markets Group while still an undergraduate at Williams College. Upon graduating Williams with a B.A. in Economics in 2008, Don officially launched PVC and began managing client capital professionally using his systematic risk management strategy. He is registered with the Commodity Futures Trading Commission and is a member of the National Futures Association. Don is responsible for implementing PVC's trading strategy, client service, and setting the strategic direction of the firm.
Don resides with his wife, two sons, and dog in Jacksonville, Florida. When not thinking about markets, Don enjoys golfing, fishing, and cooking.
3731 River Heights Crossing
Marietta, GA 30067
Attention: Carew Carswell
Tel: (404) 885-1551
http://absolutefundadministration.com/125 E. Lake Street, Suite 303
Bloomingdale, IL 60108
Attention: Michael Coglianese, CPA, PC
Tel: (630) 351-8942
200 S. Michigan Ave. #1100
Chicago, IL 60604
Attention: Jeffrey Barclay
Tel: (312) 456-3433
http://howardandhoward.com/Portfolio Diversification:
We seek to generate positive returns that are uncorrelated to traditional asset classes by trading a diverse set of markets over varying times frames, both long and short.
Research:
Investment approach is grounded in academic and practitioner research dating back several decades.
Experience:
PVC's management has traded its systematic risk management strategy through bull markets, bear markets, flat markets, liquidity crises, and flash crashes.
Infrastructure:
PVC's trading and operations infrastructure allows efficient access to more than 40 global markets while utilizing industry leading professionals in legal, audit, compliance, and administration.
Communication:
We help clients gain understanding of our managed futures strategy by providing deep insight into our investment process.
FUTURES TRADING IS SPECULATIVE & INVOLVES A HIGH DEGREE OF RISK. THERE CAN BE NO ASSURANCE THAT THE STRATEGY WILL ACHIEVE ITS OBJECTIVES, RISK MANAGEMENT TECHNIQUES WILL BE SUCCESSFUL OR THAT THAT LOSSES WILL BE AVOIDED.