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Managed Accounts are steadily becoming an investment structure of choice for institutional investors and allocators as they increase their hedge fund exposure. Enhanced transparency, control and independent governance combined with bespoke liquidity and investment terms are proving increasingly attractive.

The InfraHedge platform is built on principles of neutrality and open architecture for a wide range of hedge fund strategies and managers chosen by an investor. Our managed account infrastructure is specifically designed for institutional investors who wish to create their own Separate Account or Managed Account programs.

The InfraHedge product is offered by State Street Managed Accounts Services Ltd, a subsidiary company of State Street Corporation (NYSE:STT) and part of its Alternative Investment Solutions Group. The InfraHedge team specialises in building and operating industrial strength infrastructure solutions for institutional investors in hedge funds.

We bring decades of experience in building efficient financial operations infrastructure that aims to deliver accuracy and completeness. We combine this experience with a deep understanding of operational issues faced by institutions seeking to make hedge fund investments.
Industry Role:
InvestorAllocator
Investor Type:
Platform
Investment Interests:
HedgeFund
ManagedFutures
# Contact Info Location
1.
Andrew Allright
CEO
                                                                Responsible for company strategy, strategic partnerships, major client relationships as well as business design and execution.
Over 20 years’ experience in financial services and alternative asset ...
                                                 
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    London, England, GB
2.
Ankit Rawat
Assistant Vice President, Business Development, EMEA
                                                                Responsible for product development to support business development activities.
Over 12 years of experience in financial services including hedge fund administration.
Track record in platform opera...
                                                 
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    London, England, GB
3.
Ashwini Kumar Viswanathan
Head, Data Management and Analytics
                                                                Responsible for data management, analytics and controls, which also includes service provider oversight.
Over 17 years’ of experience in financial services and asset management.
Track record in ana...
                                                 
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    London, England, GB
4.
Claire Tyler
Head, Transaction Management
                                                                Responsible for the manager and service provider onboarding.
Over 14 years’ experience in the financial services sector.
Track record in structuring and manager onboarding
                                                 
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    London, England, GB
5.
Jayashree Sathy
Head, Investment Analytics
                                                                Responsible for service delivery design and assurance including Managed Account Center of Excellence.
Has over 15 years’ of experience, with 11 years in the area of investment banking, including se...
                                                 
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    London, England, GB
6.
Jim McKenna
Managing Director, AIS Product Development
                                                                Responsible for new business development in North America.
Over 20 years’ experience in alternative investments and managed accounts.
Track record in building managed account programs, global strat...
                                                 
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    London, England, GB
ALL ALPHAMAVEN CONTENT IS FOR INFORMATIONAL PURPOSES ONLY. CONTENT POSTED BY MEMBERS DOES NOT NECESSARILY REFLECT THE OPINION OR BELIEFS OF ALPHAMAVEN AND HAS NOT ALWAYS BEEN INDEPENDENTLY VERIFIED BY ALPHAMAVEN. PAST PERFORMANCE IS NOT INDICATIVE OF FUTURE RESULTS. THIS IS NOT A SOLICITATION FOR INVESTMENT. THE MATERIAL PROVIDED HEREIN IS FOR INFORMATIONAL PURPOSES ONLY. IT DOES NOT CONSTITUTE AN OFFER TO SELL OR A SOLICITATION OF AN OFFER TO BUY ANY INTERESTS OF ANY FUND OR ANY OTHER SECURITIES. ANY SUCH OFFERINGS CAN BE MADE ONLY IN ACCORDANCE WITH THE TERMS AND CONDITIONS SET FORTH IN THE INVESTMENT'S PRIVATE PLACEMENT MEMORANDUM. PRIOR TO INVESTING, INVESTORS ARE STRONGLY URGED TO REVIEW CAREFULLY THE PRIVATE PLACEMENT MEMORANDUM (INCLUDING THE RISK FACTORS DESCRIBED THEREIN), THE LIMITED PARTNERSHIP AGREEMENT AND THE SUBSCRIPTION DOCUMENTS, TO ASK SUCH QUESTIONS OF THE INVESTMENT MANAGER AS THEY DEEM APPROPRIATE, AND TO DISCUSS ANY PROSPECTIVE INVESTMENT IN THE FUND WITH THEIR LEGAL AND TAX ADVISERS IN ORDER TO MAKE AN INDEPENDENT DETERMINATION OF THE SUITABILITY AND CONSEQUENCES OF AN INVESTMENT.