Portfolio Style
l   Aggressive Concentrated Portfolio consisting of 10-12 stocks.
l   Buy & hold approach.

Portfolio Characteristics
Multi cap portfolio with companies spread across large cap, mid cap and small cap.

Investment Domain & Composition
l   Sectors expected to be beneficiaries of demographic patterns & reforms.
l   Sectors expected to benefit from infrastructure spending.

Portfolio Tenure
l   Long term (approx. 18 Months).

Investor Profile
l   An investor willing to invest for medium to long term without being perturbed about short-term
     returns, volatility and market momentum.
l   Any investor with a penchant for medium to high risk taking qualifies for the portfolio.



*As on 31-Dec-05 due to portfolio maturity. The returns stated above is the absolute returns arrived by taking into account the Asset Under Management (AUM) calculated at the beginning of the period, the inflows and outflows during the period and the AUM at the end of the period, of clients in the data set, after adjusting for management fee. Actual returns to specific clients could vary due to timing of investment and client specific circumstances. NAV consists of Market value of Equity & Mutual Funds Holdings and Current Assets.

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Corporate member of NSE, BSE and OTC, Mapin UIN 100002386, NSE INB/INF 230808130, BSE INB 010808153/ INF 011133230, OTC INB 200808136, NSDL IN-DP-NSDL-23-97, CDSL IN-DP-CDSL, 158-2001, Certificate of Registration as Portfolio Manager INP 000000258. Investments in securities are subject to market risk and there is no assurance or guarantee of the objectives of the Portfolio scheme being achieved. Reg. Office : Bakthawar, 1st floor, 229, Nariman Point, Mumbai - 400021.