JD Capital

JD Capital, a relative value volatility manager, seeks to generate attractive market-neutral returns by exploiting value and liquidity opportunities primarily in global equity markets and equity-linked investments and derivatives. With deep experience among the senior staff and a conservative approach to risk management, JD Capital seeks to deliver strong performance in a variety of market cycles. JD Capital’s investment team employs both fundamental and quantitative analysis with the objective to capitalize on volatility arbitrage opportunities identified in any one of three primary strategies: Index Volatility, Single Security Volatility and Dispersion/Quantitative Trading.