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.
FUND REPORT AS OF JANUARY 2021
Click on pdf icon to download report
multi-asset fund team
Rishabh Bhatt
Chief Portfolio Manager
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MSc in Finance and Management
Class of 2020-21
Cranfield School of Management
Sarthak Inganhalli
Portfolio Manager
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MSc in Finance and Management
Class of 2020-21
Cranfield School of Management
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Tanaya Deshpande
Portfolio Manager
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MSc in Finance and Management
Class of 2020-21
Cranfield School of Management
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Santiago Arieu
Portfolio Manager
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MSc in Finance and Management
Class of 2020-21
Cranfield School of Management
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Chrisye Remi
Portfolio Manager
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MSc in Finance and Management
Class of 2020-21
Cranfield School of Management
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