The investment objective of the portfolio is to endeavour to achieve superior risk adjusted returns over the long term for the client by investing in securities of - real estate developments companies engaged in developing, constructing, owning, asset managing and operating real estate assets and related infrastructure opportunities.
Risk mitigation is paramount for us hence we look at risk adjusted returns then the absolute returns. While investing we emphasize on four quadrant policy which involves getting all parameters right namely "Promoter", "Location", "Product" and "Deals".