A medium term portfolio wherein the essence of attractive technical set up backed by robust fundamentals can offer handsome returns in trending market.
The portfolio has exposure towards top brands in Banking, IT, FMCG, Petrochemicals, Entertainment, Pharma and retail space.
Companies on track to register growth in topline combined with better margins making them a re-rating candidate.
Formalization & digitization of economy coupled with India’s aim to be global supply chain will be key tailwind for companies in this portfolio.
In a post covid world, there will be increase in number of business going digital which will act as a strong tailwind for companies in this universe.
Portfolio focuses on top notch leaders of individual segments within the auto sector.
Auto ancillaries that will be least disrupted in the new world of electric mobility will thrive into the future.
In an transforming Telecom & Media world, focus on emerging areas such as digital and enterprise data will hold key for sustainable growth.
Future leaders of financial services sector offering growth potential with least Balance sheet risk.
The theme encapsulates stocks that are priced below `100 but command robust fundamentals and are available at reasonable valuations.
Emergence of a Post Covid-19 world will lead to new consumption pattern and the same will act a strong tailwind for companies that possess products.
The ETF basket of Nifty & Nifty 50 Next & Midcap and Gold, aims to capture both equity returns and hedge of bullion.
The Equity ETF basket, both Large caps and Midcaps, aims to provide full market participation with no active stock management risk.
India's emergence as a strong contender for outsourcing hub to drive significant scaling up opportunity for companies that possess global.
Choose from long, Medium & Short term recommendation to Invest in stocks seamlessly which are recommended by our researchers that suits your risk appetite
Trending stocks with sound fundamental offering favourable risk reward
Invest in Class of high risk high return potential stock from small cap category that has good, scalable business models.
Provides actionable top gainer stock market recommendations that captures short term momentum based on interesting chart patterns.
Variety of F&O recommendation by the Research team such as Positional Option, Covered Call, Reverse Collar etc for both Index and Stock.
Cash based derivatives recommendation based on quantitative analysis for 15-20% return in (1-3 months).
Capitalize on the Market Volatility in Equity, FNO and Currency & Commodity.