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TAULA CAPITAL MANAGEMENT (UK) LLP
TAULA CAPITAL MANAGEMENT (UK) LLP is a SEC-registered investment adviser in ST HELIER, registered since 2024. The firm manages approximately $204.8 billion in...
TAULA CAPITAL MANAGEMENT (UK) LLP
TAULA CAPITAL MANAGEMENT (UK) LLP is a SEC-registered investment adviser in ST HELIER, registered since 2024. The firm manages approximately $204.8 billion in assets. It has 40 employees and 20 investment advisers.
General information
Firm type
other
Location
Region
Europe
Country
United Kingdom
City
St Helier
Corporate office
London, United Kingdom
Frequently asked questions
Who manages investment decisions at Taula Capital Management?
The firm has not disclosed its full partnership roster publicly, but public record filings and industry background checks indicate that senior investment personnel previously held roles at Moore Capital Management. In the discretionary macro structure typical of UK LLPs, the designated partners or senior portfolio managers carry direct, personal accountability for risk-taking, rather than delegating to sub-advisors or systematic models. This concentrates authority in a small number of experienced macro traders.
What investment style differentiates Taula from a multi-strategy or quant hedge fund?
Taula operates a discretionary global macro strategy, which means its portfolio managers rely on human judgment about economic fundamentals, central bank policy, and geopolitical events rather than algorithmic models. Unlike multi-strategy firms that allocate capital across dozens of independent pods, a discretionary macro shop runs a more concentrated, holistic book where a single view on, say, G7 interest-rate divergence can drive positions across currencies, bonds, and indices simultaneously.
What asset classes does Taula Capital typically trade?
As a discretionary global macro manager, Taula's investable universe centers on liquid macro instruments: foreign exchange (both G10 and emerging-market crosses), sovereign and interest-rate derivatives, commodity futures, and equity index futures. The firm does not market itself as active in private credit, venture capital, or illiquid real assets. Its FCA permissions align with dealing in futures, options, and contracts for differences across these asset classes.
Profile maintained by Altss using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.
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