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Fact Sheet

Conduit Systematic Volatility Fund

Singapore VCC

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Overview

The Conduit Systematic Volatility Fund objective is to harness positive returns from systematically trading equity index options and capturing the alpha embedded in the time structure of options pricing.


Strategy

The Fund aims to generate 50% + returns annually, regardless of market conditions or sentiment. The Fund employs both long and short options to create positive carry while decreasing tail end excess risk.

General Terms
Fund Name
Fund Manager
 Currency
 Regional Focus
 Minimum Investment
 Investment Structure
 Sector
 Return Type
Fees

Conduit Systematic Volatility Fund

Conduit Asset Management Pte Ltd

USD

Global

100,000

Singapore VCC

Volatility

Absolute Return

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