Springline Capital Ltd.
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​Welcome to Springline Capital

Separately Managed Accounts

Defined Contribution Plans

Profit-Sharing Plans

SPRINGLINE CAPITAL

About Us

Springline Capital Ltd. is a BVI-based, investment manager committed to helping our clients exceed their long-term objectives. We do this by balancing market risk using low correlated, diversified assets to reduce portfolio volatility regardless of economic environment.​
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As an investment advisor, we strategize with our clients — from defined contribution plans and insurance companies to high-net worth individuals and businesses — on the best way to preserve or grow wealth, manage risk, plan for retirement, and optimize business profitability.​

Springline Capital Ltd. is a federally Registered Investment Adviser with the United States SEC and is registered with the British Virgin Islands Financial Services Commission.

Our Services

Our goal is not only to help you craft a strategy that meets your long-term objectives, but that also to helps you reduce fees and keep more of what you earn.
 
We take the time to understand your, or your company's, goals and financial objectives before making recommendations. We utilize this information to craft a solution specifically for you that is dynamic and changes based on your personal circumstances, and/or our forward-looking views on the markets.

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Separately Managed ​Investment Accounts
We help individuals and families realize their long-term financial goals by simplifying the savings and investment process.
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Employer ​Retirement Plans
We provide employers with low-cost, easy-to-implement contributory plans and assist employees achieve their long-term objectives.
Plan Advantage

Our Mission & Values

Our mission is to be the premier investment management firm in the Caribbean by delivering on our clients’ unique objectives, adhering to the highest ethical standards and expanding the investment options available within the ever-changing international regulatory framework.

​As a firm, we hold ourselves to a core set of values — our fundamental beliefs and operating principles:
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Ethics & Integrity
We are professionals who conduct ourselves ethically and with integrity at all times.
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Clients First
We are a fiduciary and operate to serve our clients with the sole purpose of helping them exceed their long-term objectives. ​​
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Community
We are exemplary citizens of the British Virgin Islands and the world, and contribute to the communities in which we live and work.

Leadership

The leadership of Springline Capital Ltd. is dedicated to helping our clients exceed their long-term objectives and raising the quality of investment options available to the global community.​

Our Board of Directors includes individuals from the United States and British Virgin Islands with experience in the asset management, accounting, insurance and consulting industries, as well as a former Minister of Finance in the BVI Parliament.
Adam W. Stauffer
Chief Investment Officer
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- ​Trader, Barclays Capital (New York)
- Trader, Lehman Brothers (New York)
- MBA, Finance | Wharton, University of Pennsylvania
- BA, Biology | Trinity College
- CFA Charterholder
Kwasi Wesselhoft
Managing Director, Investor Relations
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- Scotia Bank (BVI)
​- BA | Virginia Commonwealth University
- Canadian Securities Institute

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Springline Capital Ltd. is a Registered Investment Advisor (RIA) regulated by the U.S. Securities and Exchange Commission (SEC) and B.V.I. Financial Services Commission (FSC). By using this website, you accept our Terms of Use and Privacy Policy. Past performance is no guarantee of future results. Any historical returns, expected returns, or probability projections may not reflect actual future performance. All securities involve risk and may result in loss. 
© 2018 Springline Capital Ltd. | Terms of Use | ADV Brochure | Road Town, Tortola, BVI​​
Interactive Brokers LLC is a registered Broker-Dealer, Futures Commission Merchant and Forex Dealer Member, regulated by the U.S. Securities and Exchange Commission (SEC), the Commodity Futures Trading Commission (CFTC) and the National Futures Association (NFA), and is a member of the Financial Industry Regulatory Authority (FINRA) and several other self-regulatory organizations. Interactive Brokers is not affiliated with and does not endorse or recommend any introducing brokers or financial advisors, including Springline Capital Ltd. Interactive Brokers provides execution and clearing services to customers of Springline Capital Ltd. For more information regarding Interactive Brokers, please visit www.interactivebrokers.com
*Customer securities accounts at Interactive Brokers are protected up to $30 million (including up to $1 million for cash). The market value of your stocks, options, warrants, debt, and cash -- denominated in all currencies -- is covered by this insurance. Futures, options on futures, and single stock futures are not covered, but available cash will be swept from your futures account to your securities account periodically to take advantage of insurance coverage as much as possible. As with all securities firms, this insurance provides protection against failure of a broker-dealer, not against loss of market value of securities.

This protection is provided by the Securities Investor Protection Corporation (SIPC) and Lloyd's of London insurers. SIPC provides the first $500,000 per customer (including up to $100,000 for cash). For customers who have received the full SIPC protection, the Lloyd's policy provides up to an additional $29.5 million (including $900,000 for cash), subject to an aggregate limit of $150 million.​
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