As a principal trading firm, ACG Management Solutions (ACG) spans a diverse set of asset classes and instruments both domestically and internationally. This includes futures and options in fixed income, energy, agricultural, and equity products.
ACG's strategies and methods vary. For example, a portion of our operations focus on liquidity provision, while others interact with the markets as liquidity takers. Furthermore, some of our operations are heavily dependent on technology while others involve interactions with markets in more traditional ways. As a result, our business is diversified in strategies, asset classes, instruments, and geographical presence. ACG focuses on finding liquid, centrally-cleared instruments, thus eliminating the counterparty exposure associated with OTC/bilateral trading. Our trading strategies are often highly active and add significant amounts of liquidity to markets.