Alternative Investing

We are revolutionizing alternative investing

We are revolutionizing alternative investing, Fenul has a long track record of managing the complexities of these types of strategies. By investing long and short, and balancing exposure to multiple factors and asset classes, our alternative strategies are built to seek returns in both upward and downward trend of market. 

With our absolute return strategies, which target zero exposure to traditional markets, either at all times, or on average. 

Absolute Return Strategy

Our diversified portfolios, aggregating profit across wide range of strategies in a multi-strategy format to provide non-correlated positive return from any equity or index.

Credit Strategies

We seek positive absolute returns by investing both long and short in a diversified portfolio of credit instruments specially equity and index options. 

Volatility Strategies

We invests on the volatility risk premium and our investment can be applied as either a standalone strategy, a buy-write, or to enhance our other strategies based on fear or greed applied to securities.
Short Exposure
~ 0 %
Long Exposure
~ 0 %

Zero Management Fees

Unlike other hedge funds, we earn nothing if we do not grow your money year by year.

Fully self invested

Unlike investment banks or mutual funds, We invest alongside our investors. So we are going to prosper together.

Multi Strategy Fund

We are utilizing volatility strategies,event-driven strategies, credit strategies, and other hedged equity strategies to seek profit in any market direction which result in non-correlated uptrend to any indexes or stock in market.

Hedged Long & Short

Anytime, our innovative portfolio constitutes of diversified long and short positions simultaneously in various equities, indexes, and option contracts to manage portfolio risk.