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NAFA EMERGING BLUE CHIP PORTFOLIO

NAFA Asset Managers

About Company

NAFA Asset Managers is a boutique Investment Management Company. They begin Their new career with the team bringing diverse experiences and skill sets and a strong dedication to innovative investment management. When They continue to achieve results for Their clients, They recognise that Their people, ideas, and values allow them to do what They do by nurturing a climate where Their team and clients’ close ties are fostered. They are constantly breaking new ground, striving to find the best solutions for Their investors’ sustainable returns according to their objectives. They at NAFA Asset Managers try to build, strengthen, and enhance Their meaningful relationships with a solid dedication to Their key partners through regular contact. They shall strive for long-term development as They continue to change, employing the principle “They grow together with Their clients.” Their AIF provides a wide range of investment opportunities such as real estate, Insurance, marketing & business process outsourcing (BPO), consulting, financial advice, the automobile sector and more. Nafa Asset Managers is the best investment company that provides AIF and Credit banking services to both private and public companies

NAFA Asset Managers Emerging Bluechip

Fund Snapshot

Year of Inception 2016
Number of Stocks 37
Investment Horizon Medium to Long Term
Fund Managers Mr. N Balaji Vaidyanath

Investment Philosophy

  • The investment team of NAFA Asset Managers Emerging Bluechip believes in Quality Control, Return on Capital Employed (ROCE) greater than Cost of Capital, and Growth at a Fair Cost
  • NAFA Asset Managers invest in small and mid-cap companies with efficient management that have the ability to scale up and expand exponentially over a 5 to 7 year period.

SELECTION OF SECURITIES –   Our stock selection is based on the following criteria: strict bottom-up Investing Process -up Investing Process -up Investing Process -up overlaid with fundamental research an Excellent  -Macro view from the bottom. We examine stocks.  Against an internal structure that is both quantitative and qualitative. When it comes to quantitative screening,  We employ criteria like strong growth, high return on investment, high cash flow conversion, and cheap cost of capital leverage. In quantitative screening, we evaluate businesses based on their financial performance. Governance methods, promoter track records, and promoter share promises are all factors to consider. . Finally, we make use of a Valuation Methodology that entails To shortlist, a combination of science and art is used. equities that provide not simply a return on investment a tremendous potential for profit, and a sufficient margin of safety.

Unique Feature

Investments focussed on Bluechips with quality management

 SELECTION OF BENCHMARKS-     The performance of the scheme is compared to a pre-determined Benchmark Index. A suitable benchmark will be chosen that is compatible with the investing approach and market capitalization category of the scheme, i.e. a Large Cap, Mid Cap, Small Cap, or Multi-Cap particular Benchmark Index.

ASSOCIATED RISKS –   We use a focused portfolio technique to create larger returns, but this comes at the cost of increased risk and volatility in returns. In the near term or during periods of heightened volatility, our Buy and Hold strategy may underperform the Benchmark. In the short to medium term, several Market Capitalization-based categories may underperform the overall market.

 

NAFA EMERGING BLUE CHIP PORTFOLIO

Benchmark: BSE 500 TRI

Nafa Asset Managers Private Limited

AUM(Cr.) 1M 3M 6M 1Y 2Y 3Y 4Y 5Y Ince.
Performance ₹379.49 -12.46 -16.58 -16.77 -5.31 0.20 13.29 8.78 15.87 13.29
Benchmark NA -11.37 -13.94 -9.62 -3.12 1.32 12.89 9.27 11.76 14.05
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Fund Manager

Mr. N Balaji Vaidyanath

Mr. N Balaji Vaidyanath

N Balaji Vaidyanath is the Chief Executive Officer, Chief Investment Officer, and Director at NAFA Asset Managers. With nearly two decades of experience in equity markets, he specializes in managing diverse investment strategies across bullish and bearish cycles. Before joining NAFA in 2016, he spent ten years at Sundaram Asset Management, progressing from a research analyst to a portfolio manager where he oversaw a 12-fold increase in asset base. His investment philosophy is defined by high-conviction ideas, lengthy holding periods, and low portfolio churn. Currently, he manages assets and advisory services exceeding ₹1,400 crores, focusing on long-term wealth creation.

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Disclaimer: Investing in AIF, PMS, Gift City or Mutual Fund is subject to market risk. Please read the related documents carefully. Past performance does not guarantee future results and there is no assurance that the managed accounts will necessarily achieve their objectives. Actual portfolios may differ as a result of account size, client-imposed investment restrictions, the timing of client investments and market, economic, and individual company factors. We at ALTPORT do not guarantee any returns in the hands of investors, nor do we take any sort of accountability for the performance of the scheme.

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