Abakkus Growth Fund – 2 is benchmark agnostic flexi-cap diversified portfolio comprising of around 30 companies. Abakkus, as an asset manager has its key focus on alpha.
The characteristics of the Abakkus Growth Fund- II Category III AIF are:
• Benchmark Agnostic Flexi-cap diversified porolio of around 30 companies
• Endeavor to generate alpha over 3-5 years holding period
• Limited exposure of up to 15%* in smaller companies/special situations at the time of investment to generate additional alpha
• Select Anchor/ QIB /Pre-IPO/Others exposure as per the terms of PPM
• Single stock exposure at max 10% and sector exposure below 30% at the time of investment
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