Aruna Jaya Capital is an asset management firm built on deep research, disciplined market analysis, and a long-term, victory-oriented investing philosophy.
Watch how we transform market insights into sustainable growth opportunities
A clear, repeatable workflow from discovery to reporting. Learn the full philosophy on our About page.
Bottom-up sector coverage and idea generation backed by data and primary sources.
Sizing by conviction and risk; staged entries and exits to improve average price.
Pre-defined downside, diversification, liquidity checks, and post-mortems for every trade.
Transparent 'what we own & why', KPI tracking, and periodic letters to stakeholders.
We surface opportunities early and act with clarity—like the dawn that reveals the path ahead.
Repeatable process from research to post-trade review. Protect first, compound next, chase noise never.
Each analyst owns specific sectors to ensure depth, accountability, and transparent 'what we own and why.'

Get a tailored strategy—from discovery to execution—aligned with your risk profile and long-term goals.