TAHO Capital Management is a research-based alternative investment manager founded on
the belief that markets are inherently inefficient.
At the heart of our philosophy is the unconventional belief in the ability of pure empirical research and technology to create an edge that delivers exceptional risk-adjusted returns.
Our investment strategy consists of trading a diverse portfolio of international equity, futures and forward markets, as directed by the proprietary algorithms in the TAHO Investment System.
TAHO Capital Management is a research-based firm which uses empirical scientific methods to analyze financial data and develop trading systems.
TAHO uses the power of technology to streamline its Investment System. TAHO’s proprietary technology integrates all aspects of operations.
Irfan is Portfolio Manager and Chief Investment Officer of TAHO Capital Management.
He joined TAHO following his work as a Portfolio Manager for a Pension Fund and is listed among ‘Top Wall Street Economists, Experts and Opinion Leaders’ by the Wall Street Economists Institute.
Irfan has 12 years of experience in investment management. Prior to joining TAHO, he was an investment strategist at Emirates NBD Asset Management, Dubai, then a portfolio manager for Med Family Trust and, most recently, a portfolio manager for a Pension Fund with assets exceeding $3 Billion. He has expertise in Fund Management, Risk Management, Portfolio Strategy, Asset Allocation, Trading and Investment Banking.
Irfan has a Bachelor’s degree in Electrical Engineering and an MBA in Finance from the University of Windsor. He is a CFA and CAIA Charter Holder and member of GARP.