Vishnu Kurella is an Associate Partner and Portfolio Manager focused on cross-asset volatility at Caxton Associates. He employs an investment framework combining macroeconomic analysis with quantitative option trading strategies.
Prior to Caxton, he spent nearly four years as a portfolio manager at BlueMountain Capital Management, and previously, he worked for five years at HBK Capital Management. Vishnu is a CFA® charterholder and received a B.A. in Mathematical Economic Analysis, Summa Cum Laude, from Rice University.