True Partner Capital is a global volatility manager which trades listed derivatives on all of the major global equity markets from its offices in Chicago and Hong Kong. With a distinct market maker heritage and emphasis on our proprietary trading technology and risk management, the firm aims to provide uncorrelated and absolute returns for its clients and investors. It is the intention to especially outperform in times of general market turmoil. The applied strategies strive to identify overvalued and undervalued volatility, with an overall vega and delta neutral bias. Running a global volatility book trading around the clock, it is the team’s belief that a significant part of the opportunity set originates from the Asian timezone.