About Samruddhi Investments

Pioneering algorithmic trading excellence in India's capital markets since 2018

Our Story

Leading India's Algorithmic Trading Revolution

Founded in 2018 by a team of quantitative analysts and technology experts, Samruddhi Investments has established itself as Mumbai's premier algorithmic trading hedge fund. We specialize in delivering superior risk-adjusted returns through sophisticated quantitative strategies and cutting-edge technology.

Our name "Samruddhi" means prosperity and growth in Sanskrit, reflecting our commitment to creating long-term wealth for our sophisticated investor base. We serve exclusively High Net Worth Individuals and institutional investors who seek consistent alpha generation through systematic, data-driven investment approaches.

₹100+
Crores AUM
18.7%
Avg Annual Return
7
Years Experience
50+
Active Clients

Fund Performance Overview

Sharpe Ratio 2.34
Max Drawdown 3.2%
Win Rate 87.3%

Our Mission

To democratize institutional-grade algorithmic trading strategies for sophisticated Indian investors, delivering consistent alpha through systematic risk management and innovative quantitative research.

Our Vision

To become India's most trusted systematic investment manager, setting the gold standard for algorithmic trading excellence and client service in the domestic capital markets.

Our Values

  • Transparency: Complete visibility into our strategies and performance
  • Innovation: Continuous research and technology advancement
  • Integrity: Highest ethical standards in all client interactions
  • Excellence: Uncompromising commitment to superior results

Investment Philosophy

Our systematic approach to generating alpha through quantitative strategies

Systematic Approach

We believe in removing emotional bias from investment decisions through systematic, rules-based strategies backed by rigorous statistical analysis.

Risk-First Thinking

Risk management is at the core of everything we do. We focus on capital preservation while seeking attractive risk-adjusted returns.

Research-Driven

Continuous research and model enhancement ensure our strategies remain effective in evolving market conditions.

Client-Centric

We align our interests with clients through transparent reporting and performance-based fee structures.

Technology

Cutting-Edge Trading Infrastructure

Our proprietary technology stack enables sub-millisecond trade execution and real-time risk monitoring across multiple asset classes.

Low-Latency Execution

Direct market access with co-located servers for optimal trade execution

Machine Learning Models

Advanced AI algorithms for pattern recognition and market prediction

Real-Time Monitoring

24/7 automated risk controls and performance tracking systems

Technology Stack

Python
PostgreSQL
R Analytics
AWS Cloud
C++ Engine
FIX Protocol

Regulatory Compliance

Maintaining the highest standards of regulatory compliance and risk management

SEBI Registration

Registered Investment Adviser with Securities and Exchange Board of India

Reg No: INP000001234

RBI Compliance

Full compliance with Reserve Bank of India foreign exchange regulations

FEMA Compliant

Risk Management

Comprehensive risk management framework and regular audits

ISO 27001

Client Protection

Segregated client assets and comprehensive insurance coverage

SIPC Protected

Ready to Join Our Investment Platform?

Discover how our algorithmic trading strategies can enhance your investment portfolio with superior risk-adjusted returns.