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Institutional profile

Capula Investment Management

Capula Investment Management is a global investment manager whose roots are in fixed income relative value.

N/A
Volatility and derivatives hedge fund managerHedge Funds & MarketsCapital RankingVolatility & Derivatives HedgeMulti-category
Overview

Capula Investment Management is a global investment manager whose roots are in fixed income relative value. Its platform has broadened into macro trading, crisis-alpha strategies, and other complementary absolute-return approaches.

Capula Investment Management is a major fixed-income and macro hedge fund platform with deep expertise in rates, government bonds, swaps, options, and relative value. Its derivatives relevance is strongest in markets where yield-curve structure, central-bank policy, volatility, basis, and liquidity interact.

Principal activities

Multi-strategy investing

Capital allocation across equities, credit, macro, relative value and event-driven strategies.

Macro investing

Investment across rates, currencies, sovereign credit, equities and commodities.

Volatility investing

Directional and relative-value positions across implied and realized volatility.

  • Typical investors, clients and users: Pension funds, sovereign investors, endowments, family offices, hedge funds, asset managers, banks and trading firms.
  • Market context: Portfolio construction, trading, financing, research, risk management, fund operations, market data and institutional reporting.

Capula Investment Management participates in the hedge fund and institutional-markets ecosystem through investment management, trading, data, technology, financing or operational services. Scope varies by strategy, asset class, client base, geography and delivery model.

Sector and mandate coverage

Sector coverage
  • Global equities
  • Interest rates
  • Equity derivatives
  • Credit
  • Foreign exchange
  • Index options
Mandate types
  • Multi-strategy funds
  • Discretionary macro
  • Volatility arbitrage
  • Relative value
  • Systematic macro
  • Options strategies

The precise role depends on investment strategy, asset class, trading horizon, technology requirements, regulatory setting and operating model. Activities may combine research, portfolio construction, execution, financing, data, risk measurement and operational support.

Market position

Capula Investment Management is positioned as a volatility and derivatives hedge fund manager. Its relevance reflects the combination of specialization, institutional capability, market experience and participation in investment or trading workflows.

Distinctive focus: The firm combines discretionary market judgment, derivatives expertise, liquidity analysis, and disciplined risk management.

Competitive context

Capula Investment Management competes with hedge fund managers, banks, financial-data companies, trading-technology providers or specialist market-infrastructure firms, depending on its business model. The relevant peer set varies by strategy, asset class, client segment, geography and technology scope.

Comparable firms are selected according to overlap in investment strategy, product scope, client segment, asset-class coverage, geographic activity and operating model. Inclusion does not imply an exhaustive peer set or an equivalence in scale, ranking or market position.

Leadership

PersonCurrent positionInstitutional background
N/ASenior leadershipCurrent leadership was not consistently identified in the public sources reviewed.

Leadership information reflects the roles available in the public sources reviewed on 20 August 2026.

Corporate and regulatory information

Capula Investment Management conducts investment-management, financial-services, data or technology activities through one or more legal and operating entities. The relevant contracting entity, regulatory status and investor or client protections depend on the product, jurisdiction and service structure.

View registered-entity details
Principal entityN/A
Activity statusInvestment management, financial services, data or technology
Registration identifierN/A
HeadquartersLondon, United Kingdom
Primary jurisdictionN/A

Principal offices

  • London, United Kingdom

Rankings and recognition

2026

Top 30 Multi-Strategy Hedge Funds 2026
Capital Ranking

Tier III
2026

Top 30 Global Macro Hedge Funds 2026
Capital Ranking

Tier II

Ranking inclusion is editorially determined. The existence or maintenance of a Wiki profile does not influence ranking eligibility, tier or position.

Related institutions and subjects

Sources and data transparency

The following sources were accessed on 20 August 2026:

  1. Capital Ranking — Top 30 Multi-Strategy Hedge Funds 2026 inclusion and tier classification.
  2. Capital Ranking — Top 30 Global Macro Hedge Funds 2026 inclusion and tier classification.
  3. Capital Ranking — Top 30 Volatility & Derivatives Hedge Funds 2026 inclusion and tier classification.

Profile type: Editorial Profile

First published: 20 August 2026

Last substantively reviewed: 20 August 2026

This profile has been compiled from publicly available institutional, regulatory and editorial sources. The profiled organization does not determine its inclusion, editorial characterization or ranking status. Corrections supported by authoritative documentation may be submitted to The Economy Wiki.