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What We Do  

Jupiter Funds is a diverse asset management firm, focused on delivering high return with minimal risk to our investors.

Jupiter Funds delivers exceptional alpha by employing a blend of trading and value investing strategies across domestic and global markets which includes foreign exchange, equities, cryptocurrencies etc. We strategically invest in both developed and emerging markets, aiming to provide superior risk-adjusted returns while minimizing potential downside risk for our portfolio.



Strategy

Jupiter Funds is dedicated to optimizing its discretionary trading and intelligence gathering processes. By strategically monitoring liquidity and adapting to evolving market trends, we strive to deliver consistent alpha throughout different market phases and periods of economic volatility.



Risk Management  

Risk management is the cornerstone of our investment approach. We employ a meticulous and disciplined method to fine-tune our risk appetite, integrating this practice across all our investments. We are committed to constantly evolving and refining our risk framework to meet emerging challenges and opportunities.