We understand that different investors have different investment needs and timeframes. Therefore, we maintain a few model portfolios. To generate returns, we move between holding stocks/ETFs (Exchange Traded Funds) and holding cash — based on our analysis of market direction.
Each portfolio is based on careful selection of a few constituent companies that we can hold for long-term investment and also buy/sell at periodic intervals.
Our goal is to keep each portfolio simple and easy to manage (making it easy our clients as well), and therefore, each portfolio will have a maximum of 10 constituents, made possible by the use of ETFs (Exchange Traded Funds). In most cases, we prefer to have 5-8 constituents per portfolio.
We currently have the following portfolios for subscription:
1. MarketStar India Investment Portfolio
2. MarketStar India Energy Portfolio
3. MarketStar India Real Estate Portfolio
4. MarketStar Asia Powerhouse Portfolio
