trending_up  Alpha Fund

The fund strategy endeavours to generate superior risk-adjusted returns, in varying market conditions, by investing in large Mid-Caps within a broad Multi-Cap allocation strategy.

Ideal long-term investment option for investors to build a portfolio of market leaders with strong balance sheets, superior earnings growth and steady free cash flow generation.

Large Cap – 0–60%

Mid Cap – 20-30%

Small Cap – 0-30%

20-25

Default Position

S&P 500

Alpha Fund’s Performance

31st January 2025 PORTFOLIO S&P BSE 500 TRI OUTPERFORMANCE
 1 Month -3.5% -3.4% -0.1%
 3 Months -6.6% -4.8% -1.8%
 6 Months -10.6% -8.2% -2.4%
 1 year 16% 9.7% 6.3%
 2 years 44.3% 21% 23.4%
 3 years 31.9% 14.2% 17.7%
 4 years 34.6% 18.7% 15.9%
Since Inception (Feb 2020) 35.6% 18% 17.6%

Returns over 1 year period are annualized.
Returns are adjusted for inflows/outflows.
Performance is calculated after expenses and it is TWRR.