
Capula Investment Management LLP is a London-based global investment manager that specializes in innovative strategies designed to deliver low or negative correlation with traditional equity and fixed-income markets. The firm manages absolute return, enhanced fixed-income, macro, and crisis-alpha portfolios, providing diversified risk-adjusted returns across market cycles. Its distinctive approach lies in leveraging proprietary research and dynamic risk management to capture alpha while mitigating downside exposure. Capula is fully authorised and regulated by the Financial Conduct Authority, underscoring its commitment to rigorous compliance and client trust.
Execute trades across various asset classes, manage execution quality, and contribute to the design of a new central execution platform. Develop relationships with brokers and counterparties, and collaborate with various teams to ensure a risk-free trade lifecycle.
Capula Investment Management LLP is a London-based global investment manager that specializes in innovative strategies designed to deliver low or negative correlation with traditional equity and fixed-income markets. The firm manages absolute return, enhanced fixed-income, macro, and crisis-alpha portfolios, providing diversified risk-adjusted returns across market cycles. Its distinctive approach lies in leveraging proprietary research and dynamic risk management to capture alpha while mitigating downside exposure. Capula is fully authorised and regulated by the Financial Conduct Authority, underscoring its commitment to rigorous compliance and client trust.