As Managing Director, Mr Khullar is responsible for Arqaam
Capital's Risk Management and Quantitative Strategies areas, and is
the architect for the development of the firm-wide Treasury and
Exposure Management System. Prior to joining Arqaam Capital Mr
Khular was Managing Director at Auriga Partners. In this role, he
provided trading, risk and portfolio management solutions to both
buy and sell-side firms. He created high-alpha trading strategies
for hedge funds and CTAs and performed valuation of multi-billion
dollar derivatives portfolios for investment banks and developed
pricing models for clearing-houses and financial institutions. He
also assisted liquidators and investors in cases stemming from the
collapse of the two Bear Stearns Credit Derivatives funds. He was
also Senior Advisor with Abu Dhabi based Investment Company, NFBC,
where he directed the firm's trading and finance operations. Prior
to Auriga, Mr Khullar served as Managing Director and Head of
Derivatives Trading for Nomura Securities International, North
America. Mr Khullar headed Nomura's Exotics Trading and OTC
interest-rate options desks.
Mr Khullar holds an MBA from Harvard Business School in Boston,
and a B.Tech in Electrical Engineering from the Indian Institute of
Technology, Kanpur.