Investment Strategy
We choose the right asset mix for your risk profile in the all market conditions. We add incremental alpha using equity factor models.
Regime Modelling
We model market regimes using macroeconomic and
technical models know more>
Asset Allocation
Dynamic asset allocation forms the basis of our
strategies know more>
Equity Factors
Our equity investments are driven by smart beta
factors and
alternative beta factors know more>
Portfolio Attribution
We attribute returns of various risk factors know more>
Risk Targetting
Our strategies target a given risk based on
investor risk profiles know
more>
Machine Learning
We use data science and machine learning to add
an edge know more>