Showcasing Exceptional Equity Portfolio Performance

Consistent returns through strategic investments in high-growth sectors. Explore our performance metrics and investment opportunities.

Overall Performance Metrics

+27.2%
Average Return
3
Active Portfolios
35L
Total Capital
14.3L
Total Returns

Portfolio Performance

Growth Portfolio

10L
Invested
4L
Returns
40%
ROI
Time Period: 12 Months
Financial Year: 2024-25
Risk Profile: Moderate

Balanced Portfolio

15L
Invested
8.1L
Returns
54%
ROI
Time Period: 12 Months
Financial Year: 2023-24
Risk Profile: Balanced

Income Portfolio

10L
Invested
2.2L
Returns
22%
ROI
Time Period: 8 Months
Financial Year: 2025-26
Risk Profile: Conservative

Performance Comparison

Investment Strategy

Fundamental Analysis

Deep research into company financials, management quality, and competitive positioning to identify undervalued opportunities.

Sector Diversification

Strategic allocation across multiple sectors to mitigate risk while capturing growth across different market conditions.

Long-Term Focus

Patient capital approach with typical holding periods of 3-5 years to allow investments to mature and compound.