Live Performance of Last 24 months

 PeriodROI (Absolute)ROI (Annual)
24 months
90.65%45.33%
12 months65.65 %  65.65%
 6 months46.59%93.18% 
 3 months23.24%  92.94%
 Last month ( Jan-24)12.39% 148.70% 
Wealth 
Growth

24 months asset value grew by 139.52% ROI (Absolute) and 69.76% ROI (Annual). Annual ROI (24 months) = 45.33% +69.76% = 115.09%


Dual 
Benefit

Our investment strategy provides consistent profits + Wealth growth (Asset growth).



Diversified 
​Strategies 

We have 25+ diversified option-based strategies for all kind of market behavior.



Managed 
Drawdown

Our focus is protection of Capital. We have managed to keep our maximum drawdown  within 4% of capital.

Consistent
​Growth

In last 24 months only 3 months were in loss. Wealth growth has been consistently positive month on month.

Asset 
Distribution

Funds are distributed into multiple asset classes like Equity, Mutual Fund, Liquid Debt Fund, Sovereign Gold Bond, GOI Bonds etc.

Compounding wealth using conservative option trading