Theme Moderate risk

Quality Winners

Consistent high-growth winners across pharma, manufacturing and industrials with strong recent momentum.

Minimum allocation₹37,100
Suggested horizon5+ years
Portfolio reviewQuarterly review
Stocks5
Educational backtest

Historical performance

Not live client returns
1Y return12.74%
Full-window return379.87%
5.03Y CAGR36.59%
Max drawdown-25.78%
5Y return380.04%
5Y CAGR36.86%
Calendar period1837 days
Trading observations1248
Measured period: 2021-09-12 to 2026-09-23. A 5Y figure is shown only when a complete five-year common history exists for all current constituents.

Target allocation

🔒 Portfolio Holdings Locked
This Smartcase contains 5 High-Conviction Stocks.
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Rebalancing, methodology & data

Research review schedule: Quarterly review.
Historical calculation rebalance: target weights reset monthly in the backtest.
Static current constituents, target-weight monthly rebalance, no fees/taxes/slippage; survivorship and look-ahead bias possible.
Data window: 2021-09-12 to 2026-09-23 · Configured master broker daily-history cache.
These analytics are educational, are not a promise/target/guarantee, and do not represent actual client performance.