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Calibrate logo
alternative investment Manager
ABOUT US

Calibrate Management Ltd is an alternative investment manager. The hedge fund was founded in 2021 with the aim to generate three guiding principles: Uncorrelated Returns, Compounding Capital and Liquid Alternatives.

As a firm, we are dedicated to creating long-term relationships with our clients built on integrity and trust.

Calibrate Partners is a trading name of Calibrate Management Ltd (CML).

CML is authorised and regulated by the FCA in the UK.

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Our Strategies

Launched August 2021

Calibrate Master Fund

Long-Short Equity Fund

Launching Q1 2025

Calibrate Macro Fund

Global Cross Assets - Discretionary

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OUR PRINCIPLES

The hedge fund was founded with the aim to generate three guiding principles:

01

Uncorrelated Returns

02

Compounding Capital

03

Liquid Alternatives

Leadership Team

A collaborative team of professionals with extensive investment experience.

John White

Founder & Chief Investment Officer

Michela Ferrulli

Co-Founder & Head of Distribution

Documents

Under Rules of the FCA Conduct of Business Sourcebook, Calibrate Management Ltd (“Calibrate” or “Firm”) is required to include on this website a disclosure about the nature of its commitment to the UK Financial Reporting Council's Stewardship Code ("Code") or, where it does not commit to the Code, its alternative investment strategy. Review our documents here:

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Our Drivers

01

Diversification

Seeking to generate repeatable alpha with low correlation to markets by aligning the interests of the firm with our clients.

02

Moral & Ethic Standards

Leveraging our deep industry experience and expertise of the team to guide investment decisions and strategies.

03

Legacy

Aiming to create a positive and lasting impact through continuous improvement and questioning the status quo.

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