Our Offering
We prioritise consistent alpha gains through a strategic investment approach. With a focus on precision and innovation, our methods navigate dynamic financial landscapes. Trust in our commitment to excellence for sustained portfolio growth.
Why invest in our global arbitrage fund?

Diversification
We leverage global market differences to actively lower your portfolio risk, especially when markets are turbulent.

Risk Management
We implement robust risk management strategies to actively mitigate potential losses, providing security in uncertain markets.

Consistent Returns
We generate stable income for you by actively capitalising on pricing inefficiencies, especially when traditional investments lack predictability.

Market Agnostic
We actively profit from relative price differences, regardless of the overall market's ups and downs.

Professional Expertise
We offer access to the expertise of experienced arbitrage professionals who actively guide your investment strategy.

Hedging
Our arbitrage experts are hawkeyed on global markets to guide your investment towards profit-making opportunities.

Long-Term Growth
We actively aim for both reliable returns and the potential for long-term wealth accumulation as your investments actively grow.

Global Exposure
We actively expand your horizons by diversifying across international markets and actively capitalising on opportunities in diverse regions.
Our approach to generating alpha gains
Strategies deployed
1
Sophisticated Arbitrage Strategies to identify and size opportunities, ensuring maximum returns for you.
2
Delta - Neutral Strategies maintain balance, reducing risk while harnessing market movements for growth.
3
Hedging Strategies with minimal risk offer security while preserving your investment.
Asset class diversification
Arbitrage segment
derivatives segment
S&P / Nasdaq / Nifty / Bank Nifty / Sensex
equities segment
NSE / BSE / S&P 500 / Nasdaq / Dow jones / NYMEX / LME CME GROUP / SHFE / DGCX / TFEX
Fund allocation
Fund Attributes
Currency | USD |
Minimum Subscription | $ 100,000 |
Additional Subscription | $ 10,000 (in multiples of) |
Hurdle Rate | 9% |
Lock in period | Minimum 6 months |
Profit withdrawal | Quarterly/Bi-annual/Annual |
Subscription Fee | 0.5% (charged one-time) |
Management Fee | 2.5%/Annum (monthly deducted) |
Performance Fee | 30% over Hurdle Rate |
NAV Report | on/before 10th of succeeding month |
Major Exchanges We Deal In
A strong ecosystem is paramount for compliance and smooth operations in the global markets.