Unlocking market opportunities

Data-Driven Insights for informed and strategic trading decisions, delivering superior returns and value to stakeholders.
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Unleashing Opportunities: Our Investment Philosophy

Arbitrage

Capitalizing on Market Inefficiencies.

Markets

Large Cap Trading.

Our story

A Profitable Journey.

Exploiting Market Inefficiencies

Arbitrage trading is the core of our investment philosophy. By using cutting-edge technology and analysis techniques, we leverage our expertise to act on market inefficiencies in real-time.

We are committed to delivering consistent and superior returns for our stakeholders, while managing risk with a disciplined approach. With our unwavering focus on exceptional results, we aim to inspire other investors and create lasting value.

CAREERS

Empower Your Potential: Join Our Team

Our prop trading firm is always seeking top talent to join our team of traders and analysts. If you are passionate about finance and trading, and looking for a rewarding career where you can leverage your trading knowledge, we invite you to explore our current job openings and join our team.

Let's chat
MARKETS

Navigating the Top Tiers of the Markets

As a company, we believe that investing only in the largest, established companies minimizes risk and maximizes returns for our stakeholders. By trading in this way, we can avoid the inherent risk of mergers and bankruptcies that can occur with smaller companies, and instead focus on investing in the most stable and financially secure companies in the market. The vast majority of our trades are therefore in:

S&P 500 and NASDAQ 100 in US

CAC 40,  DAX,  FTSE MIB, OMXS30 in EU

TRADING STRATEGIES

Strategic Trading: Navigating the Complex Landscape of the Financial Markets

Volatility Arbitage

We utilize a quantitative trading strategy that aims to profit from the difference between expected and realized volatility of an asset. By analyzing the expected and realized volatility of an asset, we can take positions that benefit from any discrepancies between the two, with the goal of generating profits for our stakeholders.

Pairs Trading

We utilize pairs trading as an arbitrage strategy to profit from the price difference between two highly correlated securities. By identifying securities that are highly correlated, we can take long and short positions on the underperforming and outperforming securities, respectively, with the aim of profiting from the convergence of their prices.

Events Arbitrage

We are taking positions in companies involved in special events to profit from price discrepancies, utilizing our expertise in corporate finance and legal analysis to make informed decisions. By employing event arbitrage trading, we are able to minimize risk and achieve consistent returns for our stakeholders.

Statistical Arbitrage

We use statistical models and algorithms to identify pricing discrepancies between highly correlated securities, then take positions to profit. By leveraging our expertise in quantitative analysis and finance, we are able to identify these opportunities with a high degree of accuracy and minimize our exposure to market risk.
OUR STORY

The Art of Trading

Launching VINKEFUND in 2021

In the dynamic metropolis of Dubai, our finance company, LABA DMCC, was determined to achieve double-digit annual financial growth. With this objective in mind, we established an investment fund in 2021, which we named VINKEFUND. Our primary goal for VINKEFUND is to generate capital in the equity and derivative markets using a range of sophisticated investment strategies, including structured equity, delta-neutral, and event-driven strategies.


A Winning Approach: The Dual Positioning Strategy

As a proprietary fund, VINKEFUND is structured to take both long and short positions in the financial markets, enabling us to benefit from market inefficiencies and produce returns regardless of market direction. The fund's investment methodology is overseen by a team of seasoned investment professionals with extensive expertise in portfolio management, risk management, and financial analysis.


Commitment to Excellence

VINKEFUND offers our stakeholders an excellent opportunity to access the expertise and experience of a leading proprietary investment fund that focuses on generating capital in the equity and derivative markets. With our strong commitment to excellence in all aspects of our operations, we are confident that VINKEFUND will deliver outstanding returns to our stakeholders over both the short and long term.



LET's CHAT

Exploring Ideas and Expanding Perspectives

info@vinkefund.com
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