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Debt Strategy

The objective of this strategy is to develop comprehensive debt portfolio that integrates the clients’ investment objectives and his risk profile. The aim will be to strike a balance between maximizing investment returns and mitigating risks, while maintaining appropriate liquidity levels. This is followed up by regular monitoring and adjusting based on environment changes and anticipated changes in the yield curve.

The strategy is being managed as a discretionary portfolio management product. This service is being provided at a very nominal fee of 0.25% p.a.

 
     

SEBI Registered Portfolio Managers. Registration Number: INP 000001413