Green Portfolio

Green Portfolio MNC Advantage

Key Portfolio Attributes

Inception Date: 23 Sept 2019

Number of Stocks : 21

Fund Manager Name: Divam Sharma & Anuj Jain

Fund Manager Experience:

CA Divam Sharma has worked for over 6 years as Financial Analyst with Banks including Kotak Mahindra Bank, Citibank, and IMGC. He has over 13 years of experience of investment management in stock markets.

CA Anuj Jain has practiced as a financial consultant for over 5 years. He has over 12 years of experience in managing investments in stock markets.

Fund Manager Qualification:

CA Divam Sharma holds MBA (PGDM Finance) from Indian School of Business Hyderabad, Masters in Business Finance (ICAI) and B Com (Honors) from Delhi University.

CA Anuj Jain holds (H) Delhi University and Diploma in Information System Audit from Institute of Chartered Accountants of India.

Investment Objective

This scheme invests in Multi-National companies which benefit from better corporate governance, better technology and product portfolio, better resources and professional management.

Investment Strategy

Invests in Multi-National companies with inherent business strength, competitive product portfolio and technology, growth potential, corporate governance, valuation comfort and margin of safety.

Performance Table #

Trailing Returns (%) 1m return 3m return 6m return 1y return 2y return 3y return 5y return 10y return Since inception return
Green Portfolio MNC Advantage Fund12.39%2.67%20.66%48.17%31.44%30.81%--28.70%
BSE Sensex3.44%6.05%25.01%38.63%20.20%20.46%--20.14%

QRC Report Card *


Portfolio Holdings

Holding %
KSB Ltd. 16.84
Styrenix Performance Materials Ltd. 9.99
Integra Engineering India Ltd. 7.40
Bosch Ltd. 6.85
Elantas Beck India Ltd. 6.57
BASF India Ltd. 6.45
John Cockerill India Ltd 4.90
Gland Pharma Ltd. 4.01
Heubach Colorants India Ltd. 3.43
Federal-Mogul Goetze (India) Ltd. 3.42

Sector Allocation

Holding %
Chemicals 29.21
Capital Goods 15.59
Automobile & Ancillaries 14.52
FMCG 8.71
CASH 6.03
Construction Materials 5.79
IT 5.61
Hospitality 4.46
Plastic Products 2.23
Finance 1.86

Market Cap Allocation

Allocations %
Large Cap 12.20
Mid Cap 32.90
Small Cap 49.40
Cash 5.60

Do Not Simply Invest, Make Informed Decisions


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#Returns as of 30 Apr 2024. Returns up to 1 Year are absolute, above 1 Year are CAGR.

*QRC Report Card data is updated quarterly. Current data is as of Mar 24.

Do Not Simply Invest, Make Informed Decisions

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