Category III Alternative Investment Funds (AIFs) deploy complex trading strategies such as long-short and long-only equity strategies to generate alpha across market cycles.
These funds actively manage positions and may use leverage and derivatives, making them suitable for sophisticated investors with a higher risk appetite.

We focus on performance, reliability, and long-term growth.
Designed to generate returns in rising, falling, and sideways markets through active trading strategies.
Ability to take both long and short positions to capitalize on market inefficiencies.
Continuous monitoring and active position management help control downside risk and volatility.
Suitable for experienced investors seeking enhanced returns through complex and actively managed strategies.
Built to handle complexity while keeping things simple for users.
Generate returns by taking long positions in undervalued stocks and short positions in overvalued stocks.
Potential for High Returns: Historically, higher returns than stocks and bonds.
Continuous monitoring and dynamic allocation to manage volatility and downside risk.