FEATURES
OWNERSHIP IN INVESTMENT PORTFOLIO MANAGED BY COMPANY.
INVESTABLE CAPITAL FROM ₹ 10 LAKH UPTO ₹ 1 CRORE.
STRATEGICALLY MANAGED RISK TO ACHIEVE HIGH RETURNS.
TRANSPARENT PERFORMANCE TRACKING OF INVESTMENTS.
HOW IT WORKS?
ASSET
SELECTION
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WE USE FACTOR BASED INVESTING APPROACH.
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MULTIPLE FACTORS LIKE RISK TO REWARD, GROWTH POTENTIAL, MACRO ECONOMIC CONDITIONS, LIQUIDITY, VOLATILITY, ETC are ANALYSED.
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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 ONE YEAR INVESTORS CAN SELL THE SHARES OF COMPANY THAT MANAGES INVESTMENT WITH APPROVAL.
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THE SHARES CAN BE SOLD TO NEW AND EXISTING INVESTORS OR CAN BE BOUGHT BACK BY THE COMPANY.