Radiant Global FundEngineered for consistency
Founded on stability and discipline, we harness scientific analysis, low-latency infrastructure, and institutional governance to convert market inefficiencies into steady, risk-managed outcomes.


At a Glance
- Expert global arbitrage fund capturing geographical opportunities.
- Utilizes AI, scientific analysis, and a systematic framework.
- Authorized CIS Expert Fund under FSC Mauritius.
- Registered as FPI Category 1 under SEBI (2019). Custodian: ORBIS FINANCIAL.
- Bankers: IndusInd Bank (India) and State Bank of Mauritius (SBM).




Regulatory Standing
We are registered with the FSC Mauritius as a private company limited by shares holding a Global Business License under the Financial Services Act of 2007, authorized to operate as an Expert Fund under Regulation 79 and Regulation 2008 (Collective Investment Scheme and Close-ended Funds).
Our Fund is also registered as a Foreign Portfolio Investor (Category 1) and complies with FDI regulations under SEBI. This governance ensures transparency, oversight, and institutional-grade investor protection.

Investment Objective
Radiant Global Fund is established with the core strategy of using global arbitrage to deliver consistent, steady, low-risk, passive-income results by minimizing risk and preserving capital.




Our Edge
Leveraging low-latency infrastructure and proprietary tooling to detect micro-opportunities earlier.
Custom portfolio overlays and structures that align with investor constraints and mandates.
Core Values
- Aspire for global recognition and respect
- Blend exceptional talent with seasoned leadership
- Provide safe and steady capital growth
- Build enduring long-term client relationships
- Unwavering commitment to exceptional service, capital preservation, and growth
Key Reasons to Invest
Founded by a professional, qualified team with 25+ years of market experience delivering consistent returns across conditions.
Long-term capital appreciation with disciplined risk controls.
Principal remains in a low-risk zone through hedged exposure.
Attractive, acceptable risk-return profile with minimal drawdown.
Broad Strategy
Our fund captures arbitrage opportunities in Metals, Commodities, Equities, Energy, Currencies, IPO and Bond markets available on regulated exchanges, focusing primarily on options and futures derivatives.
- Copper
- Crude Oil
- Crude Oil
- NG
- Copper
- Crude Oil
- Futures and Options (Butterfly Strategy)
- Indices – SGX and NSE Nifty
- Futures and Options (Butterfly Strategy)