Two Investment Leads.One Shared Standard.

ABCD Fund is a single investment platform built around two distinct disciplines — Eclipse Fund's crisis-opportunity value investing and Nova Fund's multi-strategy absolute return process — each led by its own investment lead and held to the same standards of research, risk awareness, and investor responsibility.

Two launch strategies. One future extension.

ABCD Fund operates one investment platform built around two launch strategies now in formation. Eclipse Fund is the crisis-opportunity strategy led by Suthon Singhasitthangkul, built on bottom-up value investing during periods of market stress. Nova Fund is the multi-strategy absolute-return strategy led by Vithan Minaphinant, combining multiple return sources across asset classes under a shared risk budget. Both strategies draw on the same platform standards for research discipline, risk oversight, and investor communication — but their investment processes, time horizons, and instruments are materially different, and each strategy's capital decisions rest with its own investment lead.

A Defensive Fund, focused on capital preservation and liquidity, is a future extension of the platform currently under development. It is not part of the two strategies in formation and has not been launched.

Investment Leadership

Crisis-opportunity value investing and data-driven absolute return strategy, each led by its own investment lead, who holds final decision responsibility for that strategy, supported by shared platform research, data, and risk oversight.

Suthon Singhasitthangkul, crisis-opportunity value investor

Suthon Singhasitthangkul

Eclipse Fund Investment Lead

Final investment decision-maker for Eclipse Fund

Short-term panic creates recoverable dislocation in fundamentally sound businesses, and the discipline to act during those windows — not after — is where the return is earned. Suthon brings 15+ years of value-investing and crisis-opportunity experience to that conviction. His process centers on fundamental research, valuation discipline, and recovery-path assessment: identifying mispriced businesses during market stress, panic selling, and valuation dislocation, and holding positions with patient, long-horizon capital until the thesis plays out. He also serves as Board Member and Director of Foreign Investment at the Investors Association of Thailand.

Vithan Minaphinant, multi-strategy absolute return specialist

Vithan Minaphinant

Nova Fund Investment Lead

Final investment decision-maker for Nova Fund

Return generation and risk control are not in conflict: govern the downside first, and return becomes pursuable across asset classes, market regimes, and tactical modules without benchmark pressure. Vithan brings 15 years across fund management, private banking research, data science, and multi-asset strategy. His process combines cross-asset analysis, quantitative and alternative-data methods, and disciplined portfolio construction, with risk control applied ahead of return-seeking in every sleeve.

The investment convictions behind every position

  1. Capital preservation is the baseline: asymmetric upside is the reward, not the assumption.
  2. No position advances without validated fundamentals and a measurable recovery catalyst.
  3. Crisis mispricing is information: not noise to avoid, but signal to exploit with discipline.
  4. Risk governance is a first-class function: it defines position limits, not approval forms.

Research, data, and technology — working together

Fundamental research, multi-strategy and cross-asset analysis, data and analytics, and technology and risk systems are built as one integrated capability supporting both investment leads, not four separate teams.

Fundamental Research
Business, industry, and valuation analysis conducted directly against primary sources for every candidate under review.
Multi-Strategy & Cross-Asset Analysis
Return sources evaluated across equities, options, gold, and multi-asset strategies within a shared risk framework.
Data & Analytics
Financial data infrastructure and reporting dashboards that turn raw market data into structured investment inputs.
Technology & Risk Systems
Portfolio monitoring, investor reporting, and security infrastructure, maintained in-house and built around the investment process.

Analytical tools, data systems, and AI may assist research and monitoring — surfacing patterns, organizing data, and supporting analysis. They do not replace human judgment: material investor-facing conclusions are reviewed by the investment team before publication, and the investment decision for each strategy remains with its Eclipse or Nova lead.

See the full investment framework

Team & Infrastructure

ABCD Fund's analytics and technology infrastructure is proprietary, built specifically for the fund's investment process, not adapted from commercial software. Business development, data systems, and operational engineering are all maintained internally, in support of the two investment leads above.

Kanol Mongkolpathumrat, investment analytics and business development

Kanol Mongkolpathumrat

Business Development & Data Analytics | Value Investor

Kanol translates raw market and portfolio data into decision-ready intelligence for the platform's investment leadership. He maintains ABCD Fund's financial data infrastructure and business intelligence systems, including Power BI dashboards that surface position-level risk and performance signals, alongside business development and investor research. His background at SCB X provided the data-analytics foundation that the firm's in-house process depends on.

Thanayut Kiatpattanachai, full-stack engineer and business development

Thanayut Kiatpattanachai

Business Development & Full-Stack Engineer | Value Investor

Thanayut builds and maintains the proprietary systems that underpin ABCD Fund's investment operations. His work spans the fund's full technical stack, from internal tools for portfolio monitoring and investor reporting to the security architecture that protects sensitive investment data. A background in full-stack engineering and cybersecurity supports operational technology built in-house rather than adapted from off-the-shelf software.

Request Investor Briefing

The investment case is best made in conversation. For qualified investors and institutional partners seeking further information about ABCD Fund, Eclipse Fund, or Nova Fund.

Request Investor Briefing

Qualified requests receive a response within 48 hours. ABCD Fund engages only with accredited investors and institutional partners.