Luka Djunic is a Portfolio Manager and Partner at Hudson Bay Capital responsible for running a long/short credit strategy with a focus on North American liquid/tradable credit opportunities across the capital structure, with a bias to the high yield space.
Mr. Djunic joined Hudson Bay in 2019 from Sounian Capital Management where he managed his own fund with a similar strategy. Prior to launching Sounian, Mr. Djunic spent four years with Caxton Associates as a Portfolio Manager running a long/short catalyst driven performing credit strategy. He was previously a high yield market maker at Citigroup. Mr. Djunic began his career on the credit derivatives trading desk at JP Morgan Chase, with a focus on investment grade and crossover cash bonds and credit derivatives.
Mr. Djunic graduated cum laude from Harvard University with an AB in Economics.

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Hudson Bay’s environment reflects leadership and continuity built over more than two decades.
We are an investor-led, cycle-tested firm whose leadership team has navigated multiple market dislocations together. That experience is matched by an environment that values creativity, adaptability, and continuous evolution, preserving institutional knowledge while encouraging innovation.












