Andreas Shahverdyan

Associate Investment Officer at Rokos Capital Management

Andreas Shahverdyan is an Associate Investment Officer at Rokos Capital Management, having begun this role in November 2023. Prior to this position, Andreas held several roles in finance, including Trader at Trafigura from August 2019 to October 2023, focusing on battery metals and cross-asset systematic trading. Andreas also served as an Agricultural Commodities Trader at Citi from August 2017 to July 2019 and founded The Quant Group in January 2017. Earlier experiences include roles as a Research Analyst at McKinsey & Company and a Sales and Trading Summer Analyst at Citi. Additional internships include a Quantitative Analyst Intern position at Amplitude Capital and a Research Assistant role at Fraunhofer IGD. Academically, Andreas earned a Master of Science in Finance from The London School of Economics and Political Science and a Bachelor of Science (Hons) in Management Science and Mathematics from the University of St Andrews, alongside certifications in UK Financial Regulation from The Chartered Institute for Securities & Investment and a high school diploma with a focus on Mathematics and Physics from Ludwig-Georgs-Gymnasium Darmstadt.

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London, United Kingdom

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Rokos Capital Management

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Rokos Capital Management LLP (“RCM”) is a UK alternative investment fund manager authorised and regulated by the U.K. Financial Conduct Authority. RCM UK is registered with the Commodities Futures Trading Commission (“CFTC”), is a member of the U.S. National Futures Association (“NFA”) and is also registered as an investment adviser with the U.S. Securities and Exchange Commission (the “SEC”). Rokos Capital Management (US) LP is a sub-adviser to RCM and is also registered with the CFTC, is a member of the NFA and is registered as an investment adviser with the SEC. We have around 250 employees between our London Headquarters, New York, Singapore, and Hong Kong locations. RCM targets consistent long-term returns for our investors within a well-defined risk framework and is predominantly active in global macro strategies, with a focus on macro asset classes in developed and emerging markets. RCM’s social media content is provided for informational purposes only and should not be considered investment advice nor is it intended to be promotional.