Quantitative Strategies
for Consistent Growth

Delivering absolute return products through data-driven momentum investing and derivatives trading — regardless of market direction.

200 Cr+ Assets Managed
20+ Years Combined Experience
100% Quant-Driven

Built on Data, Driven by Results

Quant Orbit has been set up with a simple mission — to deliver absolute return products that help our clients grow their wealth regardless of whether markets are going up, down, or sideways.

Our research is purely quantitative, ensuring every strategy you invest in has been rigorously visualized and tested across multiple market regimes. We combine world-class research with seamless execution capabilities.

What sets us apart: We invest our own capital in every strategy we offer. We're not just developers of these strategies — we're users too.

Backtested Strategies
Proprietary Capital Invested
Risk-Managed Approach
Our Philosophy
"Less volatility than stocks, consistent returns across market cycles."
High Win Rate
Superior Risk:Reward
Low Drawdowns

Our Core Strategies

Multiple uncorrelated strategies working together for optimal risk-adjusted returns

Momentum Investing

Systematic strategies that identify and ride market trends. Our momentum models analyze price patterns and market dynamics to capture directional moves.

  • Trend identification algorithms
  • Dynamic position sizing
  • Multi-timeframe analysis

Regime Shifting

Adaptive models that detect market regime changes and adjust strategy allocations dynamically for optimal performance in any environment.

  • Market regime detection
  • Adaptive allocation
  • Drawdown protection

How We Work

01

Data Analysis

Millions of data points are processed every second through our proprietary systems, followed by Principal Component Analysis to extract meaningful signals.

02

Strategy Selection

Multiple uncorrelated strategies consume the processed data. Strong metrics are applied with strict filters — only the top performers make it to our suite.

03

Smart Execution

Our intelligent execution algorithms slice orders to ensure positions are built and unwound in the most efficient way, minimizing market impact.

04

Risk Management

Continuous monitoring with real-time risk controls. Position limits, drawdown thresholds, and correlation checks ensure portfolio resilience.

Our Founders

Combining decades of experience in quantitative research, trading, and technology

RB

Ravi Biyani

Co-Founder

15+ years of experience in Options Trading, Risk Management and Portfolio Allocation. Director at Vikabh Securities Pvt. Ltd. (Member: NSE and BSE).

Masters in Financial Engineering, Carnegie Mellon University BE in Computer Science
SK

Siddhant Kankani

Co-Founder

5+ years of experience in Options Research and Trading. Responsible for Strategy Development, Research and Operations. Background in Product & Software automation design.

CCIE (Cisco Certified) B.Tech in Information Technology, VIT Vellore

Let's Discuss Your Investment Goals

Ready to explore how quantitative strategies can work for your portfolio? Reach out to us for a confidential discussion.

Head Office

Athena House, Row House No.4,
Rajnigandha, Gen AK Vaidya Marg,
Gokuldham, Goregaon East,
Mumbai, Maharashtra – 400063

Branch Office

68/2, Ponnurangam Road West,
Behind Dr Ruchi's Dental Care,
RS Puram,
Coimbatore, Tamil Nadu – 641002