PhillipCapital Signature India Portfolio PMS


Key Portfolio Attributes

Date of Inception: 18-May-2016

No of Stocks: 20

Portfolio Manager’s Name: Nishit Shah

Portfolio Manager’s Experience: Total-experience 13 years; With Phillip Capital - 3.5 Years

Portfolio Manager’s Qualification: Nishit is a Triple Graduate with MBA from IIPM

Investment Objective

Objective is to invest in companies having good corporate governance, sustainable growth prospects, in emerging sectors and in turn around stories.

Investment Strategy

Aims to generate superior returns over medium to long term by investing in cherry picked stocks across Large, Mid and Small capitalization companies. The emphasis is to invest in a diversified portfolio of companies having good corporate governance, sustainable growth prospects, in emerging sectors and in turn around stories.

Performance Table #


Trailing Returns (%) 1m return 3m return 6m return 1y return 2y return 3y return 5y return 10y return Since inception return
Phillip Capital Signature India Portfolio1.25%-0.33%10.55%17.11%16.98%11.40%17.61%13.61%
BSE 500 TRI0.10%-4.40%7.90%27.00%20.00%16.80%19.60%14.00%-

Portfolio Holdings


Holding %

Sector Allocation


Holding %
Cap Goods & Infra 20.00
Consumption 16.95
IT, Media & Ent 14.70
BFSI 12.70
Automobiles 9.00

Market Cap Allocation


Allocations %
Large Cap 37.40
Mid Cap 28.20
Small Cap 22.80
Cash 11.60

Do Not Simply Invest, Make Informed Decisions

WISH TO MAKE INFORMED INVESTMENTS FOR LONG TERM WEALTH CREATION

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Disclaimer

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


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