Vivek Kapoor

Vivek is responsible for creating systematic investment & hedging strategies spanning multiple asset classes.  These strategies include trading directional exposures within a dynamic portfolio allocation approach, and equity & credit volatility & correlation risk-premiums.  Kapoor has worked in capital markets trading & risk management roles since 2000. He received his PhD from MIT for research on dispersion & uncertainty of transport phenomena in random porous media.

Download Brochure
Presentation