Minimum Amt

Rs. 0

Monthly SIP Amt

Rs. 0

Risk

High

Product Type

Actively Managed Advisory Product

Type of Securities

Equity

Benchmark

Nifty 200

Period

Long Term

Market Cap

MultiCap

Fees

2.5% p.a. of your Investment Value + GST

Product Type

Actively Managed Advisory Product

Benchmark
Nifty 200
Market Cap

MultiCap

Type of Securities

Equity

Period
Long Term
Fees

2.5% p.a. of your Investment Value + GST

WHAT IS ALPHA BLUECHIP

Our team of experts built Alpha Bluechip by selecting companies that have a significant competitive advantage and are able to deliver superior risk-adjusted returns. Given that it includes businesses that do well in all scenarios while remaining stable, the Alpha Bluechip portfolio of diversified companies is worthy of your time and money. We identify the industry’s titans—companies with significant growth potential that operate with excellent management and governance.

We have a methodical process for locating businesses. Our focus is always on companies making a name for themselves in categories such as duopoly market business, high growth in a known sector, a leader in new industries, a company having high economic value and recent changes in management or strategy at the company.

investment universe process & strategy

Idea Generation

Our Investment Team’s Analysts conduct quantitative and qualitative research on businesses in the investable universe to find promising enterprises. This study include going through company filings and transcripts, networking with industry participants, filtering by financial indicators that we believe are leading predictors of business quality, and much more.

Fundamental Analysis

After identifying a potential company, the Investment Team performs bottom-up fundamental analysis to see if the business has enduring competitive advantages, promising future growth and unit economics, and sound management. This procedure entails reviewing the company filings from the previous few years, the earnings transcripts, the management presentations, and sell-side research to comprehend how the business and its sector function. 

Valuation

The Investment Team evaluates the company’s absolute and relative valuation in comparison to their assessment of its long-term intrinsic value after validating the company’s competitive advantages, growth prospects, and management quality.

Portfolio Monitoring

Once a company is included in the portfolio, Investment Advisor keeps an eye on it along with the other companies every day, looking for indicators that their thesis is playing out (or not).

KEY FEATURES

Investment in companies with strong business moat and formidable competitive edge.
Includes businesses which are time tested and companies which have seen multiple cycles.
Selection of companies with robust growth, superior RoCE & strong cash flows to ensure a “High Quality Growth Portfolio with Low Risk”

INVESTMENT UNIVERSE,
PROCESS & STRATEGY