Firm
Firm
Research built around structure, not prediction.
Elora Capital Partners develops systematic futures research designed around repeatable market behavior. We combine rigorous validation, disciplined execution, and portfolio-level diversification to pursue durable performance across market conditions.
Our Approach
Research
We identify persistent market behaviors through data, economic context, and rigorous testing. Our work is designed to generalize across time, instruments, and regimes.
Execution
We translate research into clear, repeatable rules and execute with discipline. Process consistency and risk controls are embedded at every step.
Structure
We build diversified portfolios of independent frameworks to reduce concentration risk and enhance resilience across uncorrelated market drivers.
Research Philosophy
Built to Survive
Outside the Backtest
Our frameworks are designed for the real world—where markets evolve, liquidity shifts, and uncertainty is constant. We focus on what endures.
Robustness
We prioritize strategies that maintain edge across diverse market conditions.
Diversification
Multiple independent frameworks reduce reliance on any single market outcome.
Risk Discipline
Position sizing, risk controls, and drawdown management are systematic and non-negotiable.
Transparency
Clear documentation, repeatable logic, and ongoing evaluation ensure accountability and trust.
What We Research
Equity Index Futures
Systematic strategies across major global equity index futures markets.
Energy Markets
Opportunities in crude oil, natural gas, refined products, and energy spreads.
Rates & Fixed Income
Global interest rate futures and relative value across yield curve segments.
Metals & Macro Futures
Precious metals, industrials, agriculture, and cross-asset macro themes.
Explore the Research
Dive into our frameworks, performance, and insights across markets and time.
View Research