EQAR – Equity Absolute Return

EQAR (Equity Absolute Return) is an IP-driven active equity and equity derivatives strategy, designed to serve as a “debt++” solution with underlying being equities. It uses sub-strategies like options trading, special situations, arbitrage, and long-short positions with dynamic risk allocation to deliver consistent absolute returns. The strategy is available as a Market Linked Debenture (MLD) for Indian investors and as a Category III AIF under GIFT City IFSCA with a Singapore VCC feeder for offshore investors.

EQAR
Equity Absolute Return

Debt++ Solution using equities underlying

High

Equities

MLD, GIFT City Cat 3 AIF + Singapore VCC Feeder

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Prashant Mohanraj

INVESTMENT MANAGER

Prashant leads the Liquid Alternatives Group and oversees the Equities Trading business at Alpha.

With 24 years of extensive experience in fund management and trading across Indian and global financial markets, Prashant is known for his disciplined approach to trading and risk management. Over the years, he has consistently delivered superior risk-adjusted returns through various market cycles. A proven leader and business builder, he has successfully established ventures in asset management, automated trading, physical bullion, and structured products. His prior roles include senior positions at UBS, Kotak, Edelweiss, and Quant.

Prashant enjoys travel, food and books. He is an avid fan of Sachin, Rohit, Fedex and Messi and is a keen enthusiast of the music of Morrison, Page, Plant, Bono and Cobain, among others. Prashant holds a PGDM from IIM Ahmedabad and a BE in Electronics from VJTI, Mumbai University.

Experience: 24+ years

CAR

Commodities Absolute Return

Quant

Quantitative Trading

MSAR

Multi Strategies Absolute Return

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CAR (Commodities Absolute Return)

CAR (Commodities Absolute Return) is an IP-driven active commodity trading strategy, designed as a “debt++” solution with commodities as the underlying. It includes substrategies such as options trading, spread trading, long-short, and arbitrage. Focused on delivering absolute returns with low market correlation, it also provides diversification within the commodities asset class. The strategy is available as a Market Linked Debenture (MLD) for Indian investors.

CAR – Commodities Absolute Return

Debt++ Solution using commodities underlying

High

Commodities

MLD

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Mudit Singhania

INVESTMENT MANAGER

Mudit leads the Commodities business at Alpha, bringing nearly two decades of expertise in the commodities industry.

A recognized person in the industry, Mudit has been instrumental in positioning commodities as a viable alternative asset class in India. His entrepreneurial vision led to the creation of India’s largest advisory platform for commodity investments and the launch of the country’s first commodity-focused Category III Alternative Investment Fund.

Prior to Alpha, Mudit played a pivotal role at Edelweiss, where he successfully built and scaled the agri-commodities business, contributing significantly to its growth and success.

Beyond his professional achievements, Mudit is a fitness enthusiast and holds a Bachelor of Management Studies degree from the University of Mumbai.

Experience: 17+ years

EQAR

Equity Absolute Return

Quant

Quantitative Trading

MSAR

Multi Strategies Absolute Return

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MSAR (Multi Strategies Absolute Return)

MSAR (Multi Strategies Absolute Return) employs a multi-strategy approach, allocating 60-70% to low-risk and the remainder to medium-risk strategies. It blends Equity Absolute Return (EQAR), Commodity Absolute Return (CAR), Fixed Income, and more, targeting monthly positive returns with liquidity. Ideal for short-term liquidity and treasury management, it is offered as a Category III AIF for Indian investors.

MSAR (Multi Strategies Absolute Return)

Liquid+ / Arbitrage

High

Multi-asset class

CAT 3 AIF

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Mudit Singhania

INVESTMENT MANAGER

Mudit leads the Commodities business at Alpha, bringing nearly two decades of expertise in the commodities industry.

A recognized person in the industry, Mudit has been instrumental in positioning commodities as a viable alternative asset class in India. His entrepreneurial vision led to the creation of India’s largest advisory platform for commodity investments and the launch of the country’s first commodity-focused Category III Alternative Investment Fund.

Prior to Alpha, Mudit played a pivotal role at Edelweiss, where he successfully built and scaled the agri-commodities business, contributing significantly to its growth and success.

Beyond his professional achievements, Mudit is a fitness enthusiast and holds a Bachelor of Management Studies degree from the University of Mumbai.

Experience: 17+ years

Deepak Sood

INVESTMENT MANAGER

Deepak leads Fixed Income investing at Alpha. He has over 25 years of expertise in trading and portfolio management across local and regional fixed income markets. His expertise encompasses active investment strategies across global and domestic macro markets, investment-grade and high-yield corporate debt, and currency management.

Deepak’s career highlights include leading Barclays Bank’s Macro and Credit Trading business across India and Singapore, where he held a pivotal role in shaping the firm’s market strategy in interest rates and credit markets. As a senior sell-side professional, he managed proprietary trading and flow desks, driving the promotion of Indian fixed income products to global institutional investors and executing significant structured credit transactions. Additionally, as part of Barclays’ Debt Capital Markets (DCM) initiatives, he led multiple fund-raising mandates. Prior to this, at Axis Bank, he led the Fixed Income – Rates and Treasury desk, managing active multi-asset portfolios delivering strong risk-adjusted returns.

Outside of his professional pursuits, Deepak is a passionate auto enthusiast. Deepak holds a Post-Graduate Diploma in Business Management from IMS Delhi and a degree in Commerce from Delhi University.

Experience: 25+ years

Prashant Mohanraj

INVESTMENT MANAGER

Prashant leads the Liquid Alternatives Group and oversees the Equities Trading business at Alpha.

With 24 years of extensive experience in fund management and trading across Indian and global financial markets, Prashant is known for his disciplined approach to trading and risk management. Over the years, he has consistently delivered superior risk-adjusted returns through various market cycles. A proven leader and business builder, he has successfully established ventures in asset management, automated trading, physical bullion, and structured products. His prior roles include senior positions at UBS, Kotak, Edelweiss, and Quant.

Prashant enjoys travel, food and books. He is an avid fan of Sachin, Rohit, Fedex and Messi and is a keen enthusiast of the music of Morrison, Page, Plant, Bono and Cobain, among others. Prashant holds a PGDM from IIM Ahmedabad and a BE in Electronics from VJTI, Mumbai University.

Experience: 24+ years

EQAR

Equity Absolute Return

Quant

Quantitative Trading

CAR

Commodity Absolute Return

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Quant

Quant (Quantitative Trading) is a fully systematic, algorithm-driven strategy that combines Volatility, Relative Value and Directional approaches across asset classes to deliver consistent absolute returns. It is very useful in providing returns over and above that of existing investment portfolios of cash, equities, and fixed income. The strategy is available as an advisory under the RIA (Registered Investment Advisor) license for Indian investors

Quant

Algorithmic Equity Strategy

High

Equity

RIA

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Ashim Sahni

INVESTMENT MANAGER

Ashim leads the Quant Trading business at Alpha.

He has over 12 years of experience in asset management in India and globally. Ashim began his career with private equity funds in France and Switzerland. Returning to India,

he joined Alpha Alternatives at its inception and has been instrumental in its growth. He also advised a $1 billion Canadian corporate pension fund, optimizing its portfolio design and manager selection to achieve top 1% performance in Canada within two years.

A mathematics enthusiast, Ashim is passionate about applying quantitative techniques to financial markets. He is an alumnus of the Indian Institute of Technology, Delhi, and holds a Master’s in Management with a major in Finance from ESCP Europe, Paris.

Experience: 12+ years

EQAR

Equity Absolute Return

MSAR

Multi Strategies Absolute Return

CAR

Commodity Absolute Return

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