Absolute Returns, Uncompromised Integrity.
Sanghera Capital is built on proprietary quantitative models and decades of global macro research, delivering consistent risk-adjusted returns for our partners across dynamic global markets.
Our Foundation
Systematic Discipline
Every trade is executed through a rigorous framework, removing behavioral biases and maximizing precision.
Global Expertise
Decades of combined experience in macro trading, spanning foreign exchange, rates, and commodities.
Tech-Driven Alpha
Leveraging proprietary AI and machine learning to uncover non-obvious market correlations and opportunities.
Our Leadership & Vision
We are a focused, agile team dedicated to maintaining the highest ethical and performance standards in the industry.

Prabhjit Sanghera
Founder and Chief Executive Officer
Prabhjit Sanghera, Founder and CEO, established Sanghera Capital on a foundation of quantitative rigor and market experience. With half a decade in proprietary algorithmic trading at three different tier-one global hedge funds, his vision drives the firm’s core mandate of delivering absolute, risk-adjusted returns. With early private round investments in Palantir, Andurill, Cipher, Solana, Stripe, SpaceX, and uniQure, his experience spans both private, and public equity markets.
Key Partners

Lisa Chen
Head of Quantitative Research
Lisa leads our research division, focusing on developing and validating proprietary alpha models. She holds a BSc. in Computer Science, specializing in time-series prediction and deep reinforcement learning. Her work ensures our strategies remain on the technological frontier.

Harpreet Kaur
Chief Operating Officer
As COO, Harpreet manages all non-investment functions, including risk management, compliance, and technology infrastructure. She graduated with an M.B.A. from MIT Sloan School of Management and ensures operational excellence and scalability across the firm.

Dr. Andrew Reed
Regulatory and Compliance Officer
Mr. Reed ensures that all firm operations, reporting, and investment activities strictly adhere to global regulatory standards and internal governance policies. He holds a J.D. from Harvard Law School and is critical to maintaining our uncompromised integrity.

Saquib Khan
Commodity Trader
Saquib specializes in the energy and metal markets, executing highly liquid trading strategies based on supply-chain dynamics and quantitative market-making signals. He is a Chartered Market Technician (CMT) and holds a degree from New York University.
Faisal Mehmood
Head of Global Macro Research
Faisal leads the team responsible for economic modeling, geopolitical analysis, and long-term thematic forecasting that informs the Global Macro Fund. He holds an M.Sc. in Economics from the London School of Economics, and brings a decade of experience in central bank policy analysis.

Ricardo Perez
Head of Investor Relations
Ricardo oversees all client communication, due diligence, and capital formation. He is the main point of contact for our institutional partners. Ricardo holds an M.P.A. in Finance and Policy from Columbia University.
Our Investment Strategies
We manage three complementary, risk-managed funds designed to capture alpha across varied market cycles.
Global Macro Fund
This opportunistic strategy profits from broad shifts in global economic policy, interest rates, and geopolitical events. We actively trade futures, options, and currency pairs to capitalize on market divergence.
5-Year CAGR: 22%
Target Volatility: 7% - 9%
Horizon: Medium to Long-Term
Core Instruments: FX, Fixed Income, Commodities
Systematic Equity Fund
A highly automated, technology-driven strategy that leverages proprietary machine learning and deep market data analysis to identify and exploit short-term alpha signals in highly liquid equity markets.
5-Year CAGR: 28%
Target Volatility: 5% - 7%
Horizon: Short-Term (High Frequency)
Core Instruments: Equity Futures and Options
Hypergrowth Equity Fund
Focuses on high-conviction investments in private and public technology companies showing exponential revenue growth and disruptive market potential. This strategy carries higher risk and reward.
5-Year CAGR: 47%
Target Volatility: 15% - 20%
Horizon: Long-Term (Venture Capital Focus)
Core Instruments: Public & Private Equity
Comparative 5-Year Growth of $10,000
Consulting Services
In addition to our fund management, we offer targeted consulting services for sophisticated investors seeking strategic financial guidance. Our team partners with clients to navigate market complexities, providing data-driven insights and customized solutions that align with their long-term objectives.
Partner With Sanghera Capital
We exclusively partner with institutional investors, family offices, and Qualified Purchasers. Contact our Investor Relations team to begin a confidential discussion regarding capital allocation.