Inquant Debt Plus


Key Portfolio Attributes

Fund Category: Category III AIF

Sub-Category: Long Only, Long Short, Private Equity, Debt, Growth Stage Unlisted, etc.

Structure: Open Ended

Fund Tenure: NA

Fund Manager’s Name: Mr. Saurabh Saraswat & Mr. Pranshu Chugh

Fund Manager’s Experience:

Over 20 year’s experience in financial services, including in top banks: BNP Paribas, Citi and Standard Chartered

Fund Manager’s Qualification:

Mr. Saurabh Saraswat – MBA (IIM Lucknow), B.Sc. (St. John’s College, Agra) in Mathematics & Physics

Mr. Pranshu Chugh – MBA (IIM Lucknow), B.Tech (IIT Guwahati) in Mechanical Engineering

Investment Objective

Inquant Debt Plus

The Fund intends to generate consistent absolute returns for clients, with negligible risk or volatility.

Investment Philosophy

Inquant Debt Plus

To generate absolute returns using market neutral arbitrage strategy

Investment Strategy

The investment strategy is based on equity derivatives, with alpha generation via capturing the short-term arbitrage available in various derivative instruments. The investment team rigorously back-tests the strategies via past traded data procured from the exchanges, before deploying them.

Do Not Simply Invest, Make Informed Decisions

WISH TO MAKE INFORMED INVESTMENTS FOR LONG TERM WEALTH CREATION

imageBook a call with our PMS AIF Specialists

Related Investment(s)

Do Not Simply Invest, Make Informed Decisions

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