Sameer Garg is an experienced finance professional currently serving as a Portfolio Manager at Caxton Associates, specializing in global macro and cross asset volatility trading since March 2024. Previously, Sameer held senior roles at Miras Investments/Blue Ocean Capital Advisors as Head of Hedge Fund and Public Market Investments and Director of Investments, overseeing an institutional-sized single family office with a focus on alternative investments. Prior experience includes Portfolio Manager positions at Millennium and Nomura, where Sameer focused on global macro trading and FX volatility. Early career roles involve Junior Portfolio Manager at BFAM Partners, Investment Manager at Reliance Industries, and trading positions at Edelweiss Financial Services, Optiver, and Deutsche Bank. Sameer holds an MBA from the Indian Institute of Management Ahmedabad and a B.Tech in Electrical Engineering from the Indian Institute of Technology, Kanpur.
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