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MULTI-ASSET FUND

FUND Strategy

The fund primarily deals with Equity investments, with both passive and active investment approaches which include buy & hold strategy, swing trades and intra-day trades. The strategy of the fund is to generate profits from Equity trades and divert a fixed % of profits for the Fixed Income investments, thereby diversifying the portfolio and reducing the risk, while maintaining high returns.

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FUND REPORT AS OF JANUARY 2021

Click on pdf icon to download report

multi-asset fund team

Rishabh Bhatt

Rishabh Bhatt

Chief Portfolio Manager

MSc in Finance and Management

Class of 2020-21

Cranfield School of Management

 

rishabh.bhatt@cranfield.ac.uk

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Sarthak Inganhalli

Portfolio Manager

MSc in Finance and Management

Class of 2020-21

Cranfield School of Management

Tanaya Deshpande

Tanaya Deshpande

Portfolio Manager

MSc in Finance and Management

Class of 2020-21

Cranfield School of Management

Santiago Arieu

Santiago Arieu

Portfolio Manager

MSc in Finance and Management

Class of 2020-21

Cranfield School of Management

 

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Chrisye Remi

Portfolio Manager

MSc in Finance and Management

Class of 2020-21

Cranfield School of Management

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