Research backed
data-driven investment strategies

We choose the right asset mix for your risk profile in the all market conditions.
We add incremental alpha using dynamic allocation to equity factor models.

We choose the right asset mix for your risk profile in the all market conditions.We add incremental alpha using dynamic allocation to equity factor models.

Factor Investing icon
Factor Investing

We explain the market movement using quantitative equity factor models.

Regime Modeling
Regime Modeling

Markets do not stay the same. Our regime models forecast the market cycle.

Momentum Investing
Momentum Investing

Momentum is the stringest factor in India and an important part of our philosophy

Risk Modeling icon
Risk Modeling

Risk Management is at the core of our investing. We have a multi-level approach.

Asset Allocation icon
Asset Allocation

We choose the best mix of investment assets for any market condition.

Artificial Intelligence
Artificial Intelligence

We use machine learning models to forecast risk and reward in the market

Enhanced Performance
with Artificial Intelligence

Deep Learning
in Finance

We are involved in Deep Learning research to enhance Investing

Reinforcement Learning for Portfolio Allocation

Reinforcement learning is a novel approach to solving financial problems without a defined model

Regime Modelling for Optimal Allocation

Financial markets change their behaviours abruptly. We create dynamic models to take advantage.