Portfolio Manager - London
Quick Summary
Develop and execute discretionary and or systematic macro and relative value strategies across global markets, with a focus on interest rates, FX and related instruments.
Fixed Income Relative Value Macro (including credit, commodities, mortgages and broader cross-asset opportunities) Rates Crisis Alpha Quantitative and Systematic Strategies In this role,
Company Overview:
Capula Investment Management, founded in 2005, is a global investment manager specialising in absolute return, enhanced fixed income, macro and crisis alpha strategies. With offices across key financial centres globally and approximately USD 35bn in assets under management, the firm focuses on delivering low or negatively correlated returns to traditional equity and fixed income markets. Capula manages a range of strategies with a strong emphasis on relative value, macro and interest rate markets, supported by a sizeable and experienced investment team. The firm operates with a broad investment mandate, enabling it to trade across a wide range of global markets and instruments.
Requirements
~1 min readCapula Investment Management is seeking experienced Portfolio Managers across a range of strategies, including but not limited to:
- Fixed Income Relative Value
- Macro (including credit, commodities, mortgages and broader cross-asset opportunities)
- Rates
- Crisis Alpha
- Quantitative and Systematic Strategies
In this role, you will be responsible for managing a significant capital allocation, implementing disciplined risk management, and operating within a highly specialised, research-driven environment. The firm places strong emphasis on collaboration, with regular dialogue around global macroeconomic developments, monetary policy, and interest rate markets.
We are looking for professionals who can generate differentiated insights within their investment universe, contribute to the firm’s broader macro and relative value perspective, and leverage shared expertise to deliver consistent, risk-adjusted returns.
- Proven track record of alpha generation within macro and or relative value strategies, supported by strong risk management discipline.
- Deep understanding of global macroeconomics, monetary policy and cross-asset relationships.
- Strong execution capability across developed and emerging market rates and FX products.
- Clear, repeatable investment process, with the ability to manage capital with a high degree of autonomy.
- Collaborative mindset, with the ability to contribute effectively within a team-oriented investment environment.
Responsibilities
~1 min read- →Develop and execute discretionary and or systematic macro and relative value strategies across global markets, with a focus on interest rates, FX and related instruments.
- →Identify and express thematic and relative value opportunities driven by macroeconomic fundamentals, central bank policy and market dislocations.
- →Actively manage portfolio risk within a disciplined framework, including position sizing, liquidity and drawdown management.
- →Partner closely with trading, research and risk teams to optimise trade structuring and implementation across instruments such as swaps, futures, options and sovereign bonds.
- →Continuously refine strategies in response to evolving market conditions and economic developments.
- →Communicate portfolio positioning, performance and risk exposures clearly to internal stakeholders.
- →Contribute to the broader investment platform through active participation in idea generation, market discussion and cross-team collaboration.
What We Offer
~1 min readCapula is committed to supporting all employees in developing their careers and delivering their best work. We offer a collaborative and high-performance environment where portfolio managers are empowered with resources, autonomy, and the opportunity to make a significant impact. Benefits include:
Location & Eligibility
Listing Details
- Posted
- April 17, 2026
- First seen
- September 28, 2026
- Last seen
- September 28, 2026
Posting Health
- Days active
- 0
- Repost count
- 0
- Trust Level
- 16%
- Scored at
- September 28, 2026
Signal breakdown
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