A product with Right Asset combinations – Equity, Fixed Income and a hedge Portfolio

65-70% Fixed Income, 30-35% Cash Equities, 50% of Gross Exposure – Hedge Portfolio

To generate absolute return over medium term with reduced volatility. It largely cuts out both equity market directional risk and credit risks with the bond markets

• Fixed Income(65-70% of Invested Capital) Aims to provide steady returns and liquidity to the fund

• Cash Equities(30-35% of Invested Capital) Large Cap biased and aims to provide long term capital appreciation

• Hedge Portfolio(50% of the gross exposure) Aims to generate extra returns with modest volatility

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We provide research backed quality investing service with an endeavour and promise for wealth creation and prosperity. It is easy to socialize and sell, which is what most so called advisors do. But, it is equally difficult to maintain insight and integrity which is what we strive for.