Derivatives Advisory · Dubai, UAE

Advising traders and fund managers on short-duration derivatives pricing dislocations across US equity index markets

We deliver actionable trade ideas only when price, volatility and liquidity fall out of alignment.

Defined risk.
Precise timing.
Relentless discipline.
Client outcomes
194%+
Gross return generated by advised funds since inception
Specialism
Volatility Dislocation & Reversal
US indices (primary) · European & Asian indices
Founding partners
40+ years combined experience
Wall Street · The City of London

We do not chase noise. We wait for price, volatility and liquidity to get out of line.

Point 55 Delta Group is a discretionary derivatives advisory firm focused primarily on US index futures and options, with additional coverage across European and Asian index markets. We provide trade advice to traders, fund managers and proprietary desks. Our edge sits at the intersection of proprietary algorithmic signal generation, market structure analysis, macro catalysts and disciplined execution guidance. Our advisory work centres on high-conviction opportunities in the deepest index markets, with occasional single-name ideas only where the setup offers exceptional asymmetry.

01
Signal recognition

Several proprietary algorithms screen for exhaustion, reversal and dislocation conditions across price, volatility and cross-market positioning — surfacing only the highest-probability setups.

02
Macro context

We align technical opportunity with the live macro backdrop — rates, event risk, cross-asset flows and broader liquidity conditions.

03
Defined-risk execution guidance

Every trade idea is framed within a strict risk framework with active management guidance, disciplined exits and an uncompromising focus on capital preservation.

Specialists in index volatility. Selective everywhere else.

The firm primarily advises on the deepest and most liquid US index markets, where execution quality and speed of decision-making create meaningful edge for our clients. European and Asian index markets are covered selectively, providing additional opportunity across global volatility regimes. The emphasis throughout is on shorter-duration opportunities rather than long-horizon directional exposure.

  • Primary focus: US index futures and options, with particular emphasis on short-duration volatility dislocations and reversal structures. European and Asian indices covered selectively.
  • Typical profile: High-conviction trade ideas validated by proprietary algorithms, where timing, liquidity and risk-reward are tightly defined before entry.
  • Single-name ideas: Occasional and highly selective — only where a setup offers exceptional asymmetry and clear tactical edge.
  • Risk philosophy: Protect capital first. Press only when conditions align. Stay flexible across changing volatility regimes.
Client outcomes
194%+
Gross return generated by advised funds since inception
Audited at the fund level

Further detail on advisory engagements, client outcomes, the methodology and ongoing market commentary is available to qualified professional clients and counterparties upon request.

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