Ripple Effect Asset Management
Ravi Bellur currently serves as Chief Investment Officer and Managing Partner at Ripple Effect Asset Management, specializing in the energy sector with a focus on fundamental and cross-asset investment strategies. Prior to this role, Ravi was the Founding Portfolio Manager and Head of Thematic Strategies at Tarsadia Capital, where the emphasis was on concentrated investments and risk controls. Ravi's experience includes serving as Managing Director at PointState Capital, investing across multiple asset classes with a macro-microeconomic research approach, and as Vice President at BlackRock, specializing in high yield and distressed products. Additionally, positions held at R3 Capital Partners and Goldman Sachs provided foundational investment experience. Ravi obtained a Bachelor of Science degree in Finance from The Wharton School.
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Ripple Effect Asset Management
Ripple Effect Asset Management is a fundamental, cross-asset energy sector specialist. We seek to capitalize situations where evolutions in the energy sector have a 'ripple effect' across the broader economy that is not yet fully appreciated by the entire market. Our experienced team leverages deep research of legacy and new energy fuel sources and cross-asset expertise to express investment conviction in a convex, risk-controlled manner. At Ripple Effect, we hope to become a destination for data-driven, holistic thinkers, passionate about the energy sector. As a firm, Ripple Effect works to compound wealth, trust, and alignment with our partners through our core values of scrutiny, process integrity, perspective, and gratitude.