Precision-led Investing for future focused capital

Leveraging Machine Learning to build portfolios that adapt to tomorrow’s markets.

Request a Consultation Get Started

₹175.50Cr+

Assets Under Management

89%

Client Retention Rate

10+Yrs

Avg. Team Experience

Your Partner in Financial Growth

Learn more about our approach and commitment to client success.

About Aeonaux Capital

Founded by Tushar Joshi, Aeonaux Capital is built at the intersection of quantitative finance, machine learning, and institutional-grade portfolio intelligence. The firm combines deep market research with proprietary technology to engineer portfolios that prioritize real performance over speculation.

The investment team is led by Chief Investment Officer Shubhit Tiwari, an industry veteran with over a decade of experience in managing complex strategies across global markets. Under his guidance, the firm’s trading models integrate multi-factor analysis, regime-based asset allocation, algorithmic risk systems, and real-time volatility tracking.At Aeonaux, Every portfolio is designed around measurable outcomes, with long-term wealth creation as the core objective.

  • Quantitative portfolio construction
  • AI and algorithm-driven decision-making
  • Institutional-grade risk management
  • Custom strategies aligned with client goals
  • Focus on sustainable, long-term compounding
Discover Our Philosophy

Core Services

Delivering value through a suite of specialized investment services.

Portfolio Management

Active construction and management of diversified portfolios based on quantitative models.

Custom Strategy Design

Development of bespoke investment strategies tailored to unique client needs.

Risk Advisory

Advanced risk assessment and mitigation strategies to protect capital.

Performance Analytics

Detailed, transparent reporting and analysis of portfolio performance.

Investment Philosophy

Our systematic approach to navigating markets and generating alpha.

Systematic Edge

Our core belief lies in a quantitative and systematic investment process. We utilize data analysis and algorithmic models to identify persistent market advantages and construct portfolios based on statistical evidence, not emotion.

Strategies often involve exploiting factors like volatility premiums (e.g., IV Spread Arbitrage) and market structure inefficiencies, primarily focusing on liquid global markets while maintaining disciplined risk controls.

The goal is consistent alpha generation independent of broad market direction, achieved through continuous research and technological adaptation.

Recognition & Trust

Featured: Forbes
Alumni: Google Accelerator

What Our Clients Value

Hear directly from those who partner with Aeonaux Capital.

"I used to feel investing was just luck and noise. Aeonaux brought structure and sense to it. For once, I felt both calm and confident with where my money was going."
Mr Aditya Mehta PI Malhotra Family Office
"What stood out wasn’t just the returns. It was how clearly they explained every move. I don’t feel like an outsider to my own capital anymore, that makes all the difference."
Mr Rajeev ThakkarAvenue Investment Advisors
" I’d worked with other PMS firms before, but none felt this focused. Aeonaux actually communicates, actually thinks long-term, and finally, I feel like my money has direction."
Mr.Peeyush Gupta IPAC Securities

Get in Touch

Ready to elevate your investment strategy or have questions? Reach out to us through your preferred method below.