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Innovative strategies driving sustainable growth

Macro & Thematic Overlay

Top-down mapping of rate cycles, liquidity trends and geopolitical themes to steer sector and security selection

Fundamental Equity

Deep-dive financial modeling, channel checks and thesis-breaker scenarios uncover mispriced companies with durable moats in our covered sectors

Quant Models

Rule-based mean-reversion, momentum rotations and pairs trades—augmented by derivatives—to capture asymmetric payoffs and manage drawdowns.

Calculated Leverage

Barbell-style use of selective short positions and macro hedges dynamically to adjust net exposure enhancing returns and managing drawdowns.

A structured blend of macro vision, fundamental rigor, quantitative discipline, supported by prudent leverage — engineered to deliver asymmetric returns.

Integrated Strategy

Coverage Areas

Focused where innovation and resilience converge — across select asset classes, geographies, sectors and structures that best reflect our convictions.

Our Performance

Measuring success through absolute and risk-adjusted returns, guided by precision, discipline, and consistency.

27.53%

Performance since inception

40.57%

in Annualized returns

2.92

Sharpe ratio

Tech & Innovation Strategies

Measuring success through absolute and risk-adjusted returns, guided by precision, discipline, and consistency.

Our GTM Approach

A modern approach to growth, combining credibility, innovation, and active engagement with investors, clients and partners.

Join us and let's build together!

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