FII short covering may continue till Nifty touches 18200: Rishi Kohli

The core strategies in the fund are a mix of futures market-neutral meaning zero net exposure strategies using single stock futures and tail risk hedged options strategies. So, the goal is to generate alpha without being directional on the markets and there are lots of such opportunities right now and some examples are sectoral rotation, relative momentum, and volatility arbitrage. We follow a low net exposure strategy so we will have a 5-7% net long position in the current market environment.

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