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Description
About: Equity Portfolio Management firm with an objective to achieve good risk adjusted returns over medium term by investing in a portfolio of 15-20 stocks. Stocks picked for the portfolio are based on a combination of Quality, Growth and Valuation parameters. Stocks that qualify for inclusion in portfolio can be Top Down (Macro/ sectoral tailwinds) or Bottom Up (Happenings within/ for a company) - either of these can trigger wealth creation. Our approach is sector and market cap agnostic; however generally we intend to achieve a market cap balance in the portfolio by having a mix of large, mid and small caps with appropriate weightages.
Why InvesQ?
• Independent Model: clients retain funds in their account
• Research Pedigree: 20+ experience in equities / investment management
• Robust Screening: Stringent filters for screening investment ideas