Leveraging technology to provide liquidity to global financial markets, we are backed by strong principles of market neutrality. Our trading strategies revolve around high frequency trading through algorithms, backed by big data and analytics.
We believe devising strategies capable of performing neutral of market conditions is crucial. All strategies adopted have been proven to generate returns independent of market conditions with minimal risks and provide consistent profitability to our investors.
Core to our philosophy is to keep tight reins on capital while pursuing alpha. Being highly sensitive to minute drawdowns at fund level, strategy level and instrument level, we operate within a Formalized Risk Control framework that sets strict intraday limits for adherence.
With liquidity comes favorable conditions. Our strategies involve instruments that allow for ease of entry and exit with efficient price discovery. We focus on established markets with a breadth of instruments and robust financial, regulatory and infrastructural systems.