Our strategies are powered by deep data analytics. No guesswork—just consistent, logic-based execution optimized for today's markets.
We don’t rely on one idea. With over 15+ uncorrelated strategies running across different market segments, we aim to deliver stable and consistent results regardless of volatility.
Every strategy we deploy is rigorously backtested, optimized, and monitored in real-time. Our performance isn’t theoretical—it’s live, measurable, and transparent.
Navaadh's sophisticated Quant-Based Fund Management offers a systematic and disciplined path to passively grow your wealth. By harnessing proprietary models and advanced technology, we eliminate emotional biases, ensuring highly precise execution and consistent robust results
Identifying Opportunities: We build various strategies which are non corelated to each other like trend Following, mean reversion, Non-Directional/Directional selling.
Robust Back testing & Validation: Every strategy is rigorously tested against historical data to prove its efficacy and resilience.
Execution Efficiency: We use technology for High-speed execution and data processing capabilities and to minimizing slippage.
Diversification: Deploying multiple Non correlated strategies to smooth returns and reduce overall portfolio risk.
+91 98843 82010
swaminathan@navaadh.com
#758/2 759/2A, S.No 86,87
1st Floor,
Kovai Thiru Nagar,
Coimbatore - 641014