Tomoko Yamahara is a Portfolio Manager at Capula Investment Management LLP focusing on tail risk strategies and relative value volatility opportunities. Tomoko joined the firm in May 2012 from Stark Investments where she spent 12 years as a Portfolio Manager. She has an extensive background in trading equity derivatives and convertible bonds globally.
Tomoko has a BA in Economics and Political Science from Columbia University and an MBA from The Booth School of Business, University of Chicago.