TAHO Capital Management is a research-based alternative investment manager founded on
the belief that markets are inherently inefficient.
At the heart of our philosophy is the unconventional belief in the ability of pure empirical research and technology to create an edge that delivers exceptional risk-adjusted returns.
Our investment strategy consists of trading a diverse portfolio of international equity, futures and forward markets, as directed by the proprietary algorithms in the TAHO Investment System.
TAHO Capital Management is a research-based firm which uses empirical scientific methods to analyze financial data and develop trading systems.
TAHO uses the power of technology to streamline its Investment System. TAHO’s proprietary technology integrates all aspects of operations.
At TAHO, Mr. Paduada is responsivle for risk management, including day-to-day portfolio risk management, and heads the Risk Management Committee. Mr. Paduada has more than a decade of experience in risk managment, asset valuation, and strategic communication, having worked alongisde multi-national mining companies, government agencies, university departments, and non-profit organizations. Mr. Paduada earned a Bachelor of Mathematics with Honours in Pure Math and a Master of Mathematics in Statistics-Finance from the University of Waterloo