Aurinko Alpha Advantage Fund

Aurinko Alpha Advantage Fund

About the Fund

  • open-ended, CAT III AIF using a trust structure
  • Combines equity strategies with multiple low-risk and medium-risk strategies and sub-strategies
  • Low risk – Arbitrage (commodities, equities)
  • Medium risk – Option strategies, special situations etc.

Offering aims to generate very high risk adjusted returns through a unique combination of deep fundamental research and risk management & mitigation strategies.

Beta + Alpha1 + Alpha2 = Superior Risk Adjusted Returns

Beta = sector, market capitalization & business cycle agnostic equity returns through deep fundamental & factor based models

Alpha 1 = Lower correlation to markets through low & medium risk strategies

Alpha 2 = Effective Risk Management through position sizing, active governance by the IC team

Result = Sharpe Ratio significantly higher than the target benchmark index (Nifty 100)