Products

Pranitya India Opportunities Fund

Objective

To deliver alpha over benchmark returns in the long run by taking selective risk adjusted bets in a 20-30 stock portfolio which would be more bottoms up approach in identifying the companies. The fund’s objective is to identify high-conviction Indian companies that are well-positioned to benefit from favourable structural changes in the economy with some tactical allocation arising out of evolving business models, improved regulatory environments, or leadership transitions—essentially capturing opportunities where meaningful value-creation is underway.

Risk Factor: Moderate
Key Terms

Category

Category III AIF – Open Ended

Minimum Investment

Rs. 1 crore

Suggested Time Horizon

Minimum 3 years.