Caladrius Capital Management

Mathematical Precision in Financial Markets

About Us

We are a fully student-led investment fund established to bridge the gap between financial education and real-world capital allocation. We operate as both an investment platform and a collaborative learning environment; empowering students to gain hands-on experience in the research, decision-making, and analytical processes underpinning institutional investing.

Financial Analysis

Our Philosophy

"Don't Focus on the Goal, Get Lost in the Journey."

We look to leverage the latest technologies to find gaps in the market, read between the lines, and create a competitive edge.

Our Investment Philosophy

Our Team

Our team consists of experienced analysts, mathematicians, and financial professionals with backgrounds from top-tier institutions. We bring together expertise in machine learning, market knowledge and financial modelling.

Our Professional Team

About Caladrius Capital

Engineering strategies through Mathematics, Market Knowledge and Technology

Our Mission

Empower students. Cultivate insight. Deliver performance.

At Caladrius Capital, we believe that financial markets can be understood through rigorous mathematical analysis and statistical modeling. Our approach combines traditional financial theory with modern computational methods to create robust investment strategies. Alongside this, we believe it is important to pass on our knowledge, and empower those around us to create a better future.

Trading Floor

Our Approach

Systematic investment strategies driven by data, mathematics, and technology.

Investment Philosophy

"Don't Focus on the Goal, Get Lost in the Journey."

We look to leverage the latest technologies to find gaps in the market, read between the lines, and create a competitive edge.

Risk Management

Our risk management framework incorporates Value at Risk (VaR) models, stress testing, and dynamic portfolio rebalancing to ensure consistent performance across various market conditions.

As important as it is to deliver performance, it is harder to sustain and be in the market for the long term. We prioritize risk-adjusted returns and capital preservation in all our strategies.

Risk Management

Technology & Infrastructure

Our technology stack is growing at the moment. We are in the process of acquiring our own data, modelling and coding internal technology to reduce dependency on third parties.

We are also in the process of creating an interactive platform to track our progress, view our monthly commentary and insights. This will provide transparency and real-time access to our investment performance and analysis.

Technology Infrastructure

Our Team

Meet the experts behind our strategies.

Karan Jadav

Karan Jadav

Co-Founder

Karan is currently a Data Engineer within the Alternative Investments group at Bloomberg LP. He is pursuing the CFA Level I qualification while studying Computer Science at the University of Exeter. His work includes developing research on the private equity market, performing market assessments, and contributing written articles on financial developments.

Dhilan Kesra

Dhilan Kesra

Co-Founder

Dhilan is pursuing a degree in Mathematics. He has gained extensive experience across the financial markets, having previously worked at Schroders and General Atlantic. His responsibilities encompassed a broad range of private equity activities, including market research, investment analysis, and portfolio support.

Contact Us

Get in touch to learn more about our investment strategies.

Get In Touch