Rodrigo Rodriguez
Founder and CIO at Corbiere Capital Management (Jersey) Limited- Claim this Profile
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Bio
Experience
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Corbiere Capital Management (Jersey) Limited
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Jersey
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Investment Management
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1 - 100 Employee
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Founder and CIO
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Oct 2023 - Present
Corbiere Capital is a Jersey, CI based Hedge Fund with a core focus on Global Event Driven. The company has a team of 5 people, most of whom have worked together previously at Bluecrest and Ovata and have long-standing industry experience. Corbiere has an institutional infrastructure and is both independent and wholly owned by its founders. Corbiere offers both a Cayman Master Fund for offshore and onshore monies, a Dublin AIF structure for European onshore investors and a Jersey JPF for local investors. In addition, Corbiere offers a limited number of managed accounts from $50m. The firm aims to deliver consistent investment returns with low drawdowns whilst providing meaningful portfolio diversification through low correlation to both other peer group managers and the broader equity markets. Corbiere has a core focus on liquid Global Event Driven, avoiding credit and esoteric situations. The CIO seeks to employ a disciplined multi-strategy approach to trading, opportunistically investing across five sub-strategies. The fund’s strategy combines a systematic process to identifying hard catalysts and event signals with disciplined, discretionary investing across index rebalances, dividend arbitrage, corporate arbitrage, opportunistic risk arbitrage and ECM The geographical exposure is global, but the main focus is on Europe and Asia with a more limited exposure to the US. The CIO’s approach is to run a diversified portfolio which avoids large binary outcomes and which generates absolute returns. Corbiere seeks to employ a style of trading that is different to their peers. For example, the team will not pursue ‘rate of return’ trades within merger arbitrage, instead preferring to trade on overdone situations, broken deals etc. Each strategy helps to feed the others and the CIO may trade a situation multiple times as different catalysts appear. The portfolio is actively hedged using derivatives. Show less
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Ovata Capital
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Hong Kong
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Investment Management
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1 - 100 Employee
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European CEO and Partner
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May 2020 - Oct 2023
Responsible for the build up of the European Business as well as the management of the operational and financial needs. Global head of multi strategy event driven managing the team both in Europe and Asia. Firm AUM $1.2b Responsible for the build up of the European Business as well as the management of the operational and financial needs. Global head of multi strategy event driven managing the team both in Europe and Asia. Firm AUM $1.2b
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BLUECREST CAPITAL MANAGEMENT (UK) LLP
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Jersey,London
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Portfolio Manager. Partner
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Sep 2013 - May 2020
Event Driven Portfolio Manager with $450m capital under management and a gross book over $1B Strategies include index rebalances,corporate actions,Distressed risk arb and Equity Capital Markets all with a Macro/Fixed income layer Event Driven Portfolio Manager with $450m capital under management and a gross book over $1B Strategies include index rebalances,corporate actions,Distressed risk arb and Equity Capital Markets all with a Macro/Fixed income layer
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Credit Suisse
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Switzerland
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Banking
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700 & Above Employee
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Managing Director
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Jan 2008 - Apr 2013
Head of Developed Europe Cash Trading. (D1, PT & Cash) Created the Central Risk desk end2009/2010 Head of Developed Europe Cash Trading. (D1, PT & Cash) Created the Central Risk desk end2009/2010
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J.P. Morgan
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United States
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Financial Services
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700 & Above Employee
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Executive Director
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1997 - 2008
Since joining the graduate program at Equity Derivstives , experience was gained on flow derivatives,index arb, program trading and Equity proprietary trading. last role Responsible for all non vol strategies for Equities Prop Team Since joining the graduate program at Equity Derivstives , experience was gained on flow derivatives,index arb, program trading and Equity proprietary trading. last role Responsible for all non vol strategies for Equities Prop Team
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Education
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London Business School
Hedge Fund Programme, portfolo Management -
Charter Financial Analyst Insitute
CFA, Chartered Financial Analyst -
Universidad CEU San Pablo
Master, Financial Markets -
Universidad Complutense de Madrid
Licenciatura, Business Administration