FEATURES
A READY-TO-INVEST PORTFOLIO FOCUSED ON GROWTH.
INVESTABLE CAPITAL FROM ₹ 10 LAKH UPTO ₹ 10 CRORE.
STRATEGICALLY MANAGED RISK TO ACHIEVE HIGH RETURNS.
TRANSPARENT PERFORMANCE TRACKING OF INVESTMENTS.
HOW IT WORKS?
EXPECTED RETURNS
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EXPECTED RETURNS FOR HOLDING PERIOD OF 5 YEARS TENURE CAN BE 90% TO 100%.
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EXPECTED RETURNS FOR HOLDING PERIOD OF 10 YEARS TENURE CAN BE 250% TO 350%.
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TO MITIGATE RISK, REGULAR MONITORING AND REBALNCING IS REQUIRED.
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WITH CHANGE IN INTERNAL OR EXTERNAL INVESTMENT SCENARIO Asset IS REPLACED OR ALLOCATION IS MODIFIED.
REGULAR MONITORING
CASHFLOW MANAGEMENT
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INCOME GENERATED IS REGULARLY reinvested SYSTEMATICALLY IN HIGH ROI ASSETS.
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This RESULTS IN better RISK MANAGED RETURNS.
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after completion of investment tenure you can always choose to RETAIN or withdraw completely.
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UPTO 60% INVESTMENT CAN BE WITHDRAWN ANYTIME BEFORE COMPLETION OF 3 YEARS.