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A focused basket of high-conviction large-cap companies selected for stability and long-term wealth creation.
The High Conviction Large Cap Basket is model portfolio consisting of 5 large-cap stocks selected from the Nifty 50 and Nifty Next 50 indices. Each stock is selected based on fundamental research covering business model, historical financial statements, valuation ratios, and recent business developments. The portfolio assigns an equal 20% weight to each constituent and is benchmarked against the Nifty 100 Index. The minimum investment horizon is 1 year. The portfolio was launched on 4 June 2026 and is rebalanced quarterly following each earnings season.
The model portfolio consists of 5 large-cap stocks. Each constituent has been selected based on fundamental analysis, with a documented investment rationale covering business model, financial performance, valuation metrics, and recent developments.
4th June, 2026
The model portfolio is rebalanced quarterly, following the conclusion of each earnings season. Rebalancing occurs four times in a financial year, as outlined:
Investments in equity securities are subject to market risks, including price volatility, economic and political uncertainties, interest rate fluctuations, and sector-specific developments. Past performance is not indicative of future results. There is no assurance of returns or capital protection. Investors are advised to consider their risk tolerance and investment objectives before acting on this model portfolio.
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