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Algo Trading Strategies

Minimum INR 1 CR. Capital commitment

Long term investment horizon

Upto 100% of fund investment in listed securities

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Upto 40% of fund investment in unlisted securities

Jupiter Strategy

CONTROLLED DRAWDOWN ยท DISCIPLINED GROWTH

• Combination of 3 structured, non-correlated strategies with internal hedging

• Non-expiry days: balanced directional + non-directional approach

• Expiry days: high-speed execution with defined stop loss & targets

• Broker-level stop loss & maximum day-loss controls

• 100% capital deployed in options selling ,purely intraday

100%

MAX DRAWDOWN

AVG ANNUAL RETURN

2020–25

~6%

OPTIONS SELLING

DATA PERIOD

~18%

Minimum INR 1 CR. Capital commitment

Long term investment horizon

Upto 100% of fund investment in listed securities

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Upto 40% of fund investment in unlisted securities

Eternal Strategy

ENHANCED RETURNS ยท BALANCED EXPOSURE

• 50% Nifty + 50% Sensex allocation for cross-index diversification

• 3 structured strategies with directional + non-directional balance

• Expiry days: fast execution engine with defined SL & targets

• Broker-level stop loss & maximum day-loss controls

• 100% capital in options selling — purely intraday, no overnight risk

100%

MAX DRAWDOWN

AVG ANNUAL RETURN

2020–25

~8%

OPTIONS SELLING

DATA PERIOD

~24%

Minimum INR 1 CR. Capital commitment

Long term investment horizon

Upto 100% of fund investment in listed securities

jupiter.jpg

Upto 40% of fund investment in unlisted securities

Jupiter Strategy

CONTROLLED DRAWDOWN ยท DISCIPLINED GROWTH

• Combination of 3 structured, non-correlated strategies with internal hedging

• Non-expiry days: balanced directional + non-directional approach

• Expiry days: high-speed execution with defined stop loss & targets

• Broker-level stop loss & maximum day-loss controls

• 100% capital deployed in options selling,  purely intraday

2020–25

DATA PERIOD

OPTIONS SELLING

100%

AVG ANNUAL RETURN

MAX DRAWDOWN

~6%

~18%

Minimum INR 1 CR. Capital commitment

Long term investment horizon

Upto 100% of fund investment in listed securities

jupiter.jpg

Upto 40% of fund investment in unlisted securities

Jupiter Strategy

CONTROLLED DRAWDOWN ยท DISCIPLINED GROWTH

• Combination of 3 structured, non-correlated strategies with internal hedging

• Non-expiry days: balanced directional + non-directional approach

• Expiry days: high-speed execution with defined stop loss & targets

• Broker-level stop loss & maximum day-loss controls

• 100% capital deployed in options selling, purely intraday

2020–25

DATA PERIOD

OPTIONS SELLING

100%

AVG ANNUAL RETURN

MAX DRAWDOWN

~6%

~18%

Minimum INR 1 CR. Capital commitment

Long term investment horizon

Upto 100% of fund investment in listed securities

ethernal.jpg

Upto 40% of fund investment in unlisted securities

Eternal Strategy

ENHANCED RETURNS ยท BALANCED EXPOSURE

• 50% Nifty + 50% Sensex allocation for cross-index diversification

• 3 structured strategies with directional + non-directional balance

• Expiry days: fast execution engine with defined SL & targets

• Broker-level stop loss & maximum day-loss controls

• 100% capital in options selling. purely intraday, no overnight risk

2020–25

DATA PERIOD

OPTIONS SELLING

100%

AVG ANNUAL RETURN

MAX DRAWDOWN

~8%

~24%

ethernal.jpg
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Eternal Strategy

ENHANCED RETURNS ยท BALANCED EXPOSURE

~24%

• 50% Nifty + 50% Sensex allocation for cross-index diversification

• 3 structured strategies with directional + non-directional balance

• Expiry days: fast execution engine with defined SL & targets

• Broker-level stop loss & maximum day-loss controls

• 100% capital in options selling, purely intraday, no overnight risk

AVG ANNUAL RETURN

MAX DRAWDOWN

~8%

OPTIONS SELLING

100%

DATA PERIOD

2020–25

BEST SUITED FOR

Investors seeking higher growth potential and comfortable with a slightly elevated risk appetite for enhanced long-term returns.

Investors seeking steady compounding with controlled drawdown and a disciplined risk management framework.

BEST SUITED FOR

Closed

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Chanakya Opportunities Fund I

Close ended CAT - II AIF

Minimum INR 1 CR. Capital commitment

Inception Date: 28th June 2023

Upto 39.48% of fund investment in listed securities

Upto 27.08% of fund investment in unlisted securities

Fund Tenure: 5 years + 2 extensions of 1 year each

BEST SUITED FOR

Investors seeking steady compounding with controlled drawdown and a disciplined risk management framework.

BEST SUITED FOR

Investors seeking higher growth potential and comfortable with a slightly elevated risk appetite for enhanced long-term returns.

Frequently asked questions

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