IUR Capital LLC was founded in 2010 as a boutique, independent investment advisory firm.

From inception, our objectives have been consistent — we seek to deliver exceptional value to our clients through consistent investment returns on portfolios which we advise and manage, combined with the highest levels of professional conduct and ethical standards. Our US investment advisor, IUR Capital LLC, was established in 2010 with a similar DNA

We are authorized and regulated by the UK Financial Conduct Authority (Firm Reg 514394) and also registered as a Portfolio Manager with the Ontario Securities Commission (NRD 37230).

As an SEC–registered investment advisor, IUR Capital LLC is focused on advising and managing portfolios that are structured for capital preservation, while seeking to produce returns through bull, bear and neutral market conditions. We advise institutions, trusts, individuals and financial advisors on the use of alternative asset classes in a continually evolving investment landscape. These alternative asset classes help investors move beyond traditional investment models and introduce strategies tailored to meet the objectives of our client portfolios.

"2020 will mark our 10th anniversary as an investment advisory firm, and we will seek to deliver sustainable, long-term value for our investors."


At the age of 24, Mr Ryan founded IUR Capital Ltd in London, United Kingdom and IUR Capital LLC in 2010.

Mr Ryan has spent the majority of his career in the options industry, and this forms the basis of IUR’s investment advisory. Prior to IUR, Mr Ryan spent almost 4 years at a Wall St broker-dealer which traded options for retail investors worldwide, with a focus on US equity markets.

He has been a regular guest on several major news channels including Bloomberg TV and FOX News, covering several areas of global markets and has been quoted on several articles relating to equity options. Mr Ryan regularly presents at investment conferences around the world where he discusses the use of alternative investment strategies for institutional investors. In addition he has delivered more than 80 webcasts for various institutions including CBOE, London Stock Exchange, Bloomberg and The Options Industry Council and has written extensively on the role of exchange-traded option strategies in an investment portfolio.

Mr. Ryan holds the following FINRA qualifications: Series 4, Series 7, Series 24 and Series 63 through our affiliated broker-dealer (IUR Securities LLC). He is an Associate of the Chartered Institute of Securities & Investment since 2010. Mr. Ryan’s responsibilities as Firm Principal cover all aspects of management, regulatory, advisory, equities trading, derivatives trading, risk management and compliance.