Our Investment Philosophy
We endeavor to generate superior returns consistently, with constant eye on risk.
Our investment approach revolves around identifying companies with high quality management and sustainable and scalable business models in sectors that benefit from macro socio-economic trends.
We identify and study such companies in detail through management meetings, broker research, proprietary research models and channel checks.
We have put in place a sound internal risk management system that includes a management quality assessment process and a balance sheet assessment process. In addition, we constantly monitor parameters such as insider activity and liquidity.