Equinova Alpha Opportunities
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To deliver superior risk adjusted returns in the equity market by taking an active portfolio construction approach and trying to catch the momentum in the companies and sectors across market-capitalizations. Portfolio would be more bottoms up constructed. Thereby there would be a higher churn, higher risk and higher return expectations from the portfolio.
Agnostic
15-20
Minimum 3 years
| KEY HIGHLIGHTS | Equinova Alpha Opportunities |
|---|---|
| LAUNCH DATE | 28th Jan 2026 |
| BENCHMARK | BSE 500 TRI |
| BIAS (MARKET CAP) | Market cap agnostic, high risk portfolio aiming to capture momentum part of the market. |
| MINIMUM HOLDING PERIOD | Minimum 3 years |