core strategies
Quantitative – market-neutral strategy is at the core of our trading portfolio.
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Our delta neutral strategies are built and purified through a process of fundamental analysis & statistical tools.
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We pursue multiple investment strategies which enables us to tap into the opportunities from multiple asset classes while diversifying our risks.
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These strategies combined with our risk management principles, have a tendency to show superior risk adjusted returns on a consistent basis.

Capabilities
Our competitive advantage lies in our trading team which has a deep pool of talent.
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Armed with skill to trade in difference market scenarios cultivated over the combined period of more than 30 years.
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We have a wide range of investment products and strategies across asset classes and investment style which includes – Fixed-Income, STIR, Agriculture commodity, Soft commodity, Bullion, Metals, Energy, FX and Equity Indices.
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Our investment models work on futures and option strategies in all major exchanges across the globe.
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Some of these exchanges-
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US – CME, CBOT, CBOE, NASDAQ, ICE US, NYSE
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Europe – EUREX, ICE EUROPE, EURONEXT
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Middle East and Asia – DGCX, SGX, TOCOM
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