Samvitti Active Alpha PMS


Key Portfolio Attributes

Inception Date: 13 April 2021

Portfolio Manager’s Name: Mr. Prabhakar Kudva

Portfolio Manager’s Experience: 10+ years

Portfolio Manager’s Qualification: B.E. MBA - Selected as one among 40 under 40 Investment managers by AIWMI (Association of International Wealth Management of India)

Investment Objective

The investment objective of Samvitti Active Alpha PMS aims to deliver consistent, market-beating returns by actively identifying and investing in businesses that are in a multi-year growth cycle. The portfolio is tailored to capitalize on opportunities across market cycles while focusing on long-term wealth creation for its investors. It combines stability with growth by allocating investments between large-cap, mid-cap, and small-cap companies based on their potential and market conditions.

Portfolio Strategy

The investment strategy of Samvitti Active Alpha PMS is that it follows a sector and earnings-driven approach, emphasizing:

  • Active Alpha Creation: Identifying businesses benefiting from strong tailwinds and on the cusp of exponential growth. These typically include small and mid-cap stocks with high growth potential.
  • Stable Long-Term Growth: Incorporating large-cap companies with steady and predictable returns to provide portfolio stability.
  • Dynamic Portfolio Allocation: Adjusting cash positions during frothy markets and deploying capital strategically to optimize timing and returns.
  • Differentiated Stock Picking: Using rigorous research tools and experienced teams to identify market-leading businesses early.

Investment Philosophy

The investment philosophy of Samvitti Active Alpha PMS centers on creating a symbiotic relationship between technology, research, and market insight:

  • Long-Only Growth Investing: A focus on businesses with proven earnings and potential to outperform over the long term.
  • Investor Alignment: Fee structures are performance-driven, ensuring managers are rewarded only when investors achieve meaningful gains.
  • Transparency: Real-time portfolio monitoring and detailed reporting ensure clients stay informed about their investments.
  • Integrity: Avoiding conflicts of interest, Samvitti does not engage in unnecessary portfolio churn, ensuring investors benefit directly from reduced costs and efficient execution.

Performance Table #


Trailing Returns (%) 1m return 3m return 6m return 1y return 2y return 3y return 5y return 10y return Since inception return

QRC Report Card *




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Disclaimer

#Returns as of 30 Nov 2024. Returns up to 1 Year are absolute, above 1 Year are CAGR.

*QRC Report Card data is updated quarterly. Current data is as of Oct 24.


Do Not Simply Invest, Make Informed Decisions

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