Built for Execution. Grounded in Data.

SJC Capital Partners was founded to bring structure, discipline, and repeatability to futures trading.

Professional business consultation with technology overlay

Our Mission

We aim to provide accredited investors with a structured, algorithmic trading model that is pre-positioned to engage with market movements at all times. The Fund's process is designed to reduce behavioral pitfalls by operating continuously, with positions placed strategically.

Too many investors rely on discretionary bets or gut-driven timing. We created SJC Capital Partners to offer something different: a structure-first investment strategy designed to act, not react.

Meet the Founders

Industry veterans with decades of combined experience in financial markets and investment management

Jeffrey C. Chatfield - Managing Director

Jeffrey C. Chatfield

Managing Director

An S&P 500 Futures Trader with 20 years experience, Jeff leads the firm's strategic positioning, bringing operational discipline to the fund's structure. Experienced professional with extensive expertise in derivatives trading and risk management.

Ramesh Makkena - Managing Director

Ramesh Makkena

Managing Director

A mathematician and quantitative strategist, Ramesh oversees the Fund's data science, modeling, and execution logic. His focus is on refining the algorithm for changing market conditions with expertise from JPMorgan in systematic investment approaches.

What Sets SJC Apart

Historical Stress Testing

We use historical stress testing to inform daily execution and strategy refinement.

Pre-set Positions

Our positions are always pre-set—not reactionary, ensuring disciplined execution.

Active Through Volatility

The Fund is structured to remain active through volatility and market stress.

Discipline-Based Strategy

Strategy is based on discipline, not predictions, ensuring consistent execution.

Risk Management

Steady, Sustainable Gains with Lowest Possible Risk

SJC Capital Partners is designed to generate steady, sustainable gains while seeking to manage risk to its lowest practical level. The structured model focuses on long-term resilience rather than short-term speculation.

Risk Management and Investment Strategy

Ready to Learn More?

Discover how our systematic approach to S&P 500 futures trading can enhance your investment portfolio. Get in touch with our team of experienced professionals today.