Premium Access PMS

NARNOLIA LARGE CAP STRATEGY

Distributed through AltPort Experts. Comprehensive fund documentation can be accessed through our research team.
Category PMS
Company Narnolia Financial Services Limited
Fund Managers Shailendra Kumar
Benchmark Nifty 50 TRI
Share: f x in w

About Company

Narnolia Financial Services Limited

Narnolia Equity PMS allows investors to engage in four distinct equity strategies through a single account, allowing them to safely manage investment amounts in these strategies based on their individual risk profile. The investor is free to select their favourite basket of equities as a result of this. These equity strategies are built around diverse cap sizes and basic growth and quality features. The portfolio is a flexible and cautious mix of big, mid, and small cap firms that have the resilience to sail through challenging times while still having the force to succeed in the long run.

 

Investment Philosophy

Narnolia Financial Services follows a structured, research-backed investment philosophy focused on long-term wealth creation and risk management:

  • Research-Driven Investing
    Strong reliance on in-house research, fundamental analysis, and data-backed decision-making.
  • Growth-Oriented Approach
    Focus on identifying companies with strong earnings visibility, scalable models, and long-term growth potential.
  • Valuation Discipline
    Investments are made with a clear margin of safety, ensuring favorable risk-reward opportunities.
  • Diversified Portfolio Construction
    Allocation across sectors, market caps, and asset classes to enhance stability and reduce concentration risk.
  • Risk Management Focus
    Continuous monitoring, defined exit strategies, and portfolio rebalancing to manage downside risks.
  • Combination of Top-Down & Bottom-Up
    Macro trends and sector outlooks are combined with stock-level analysis for better investment outcomes.
  • Active Management Strategy
    Dynamic portfolio adjustments based on changing market conditions and evolving opportunities.
  • Long-Term Investment Horizon
    Emphasis on compounding wealth through disciplined investing and patience across market cycles.

 

Section: Performance Analysis
Fund Growth vs Benchmark Trend

Track how the fund has performed against its benchmark over time through a comparative line graph analysis.

NARNOLIA LARGE CAP STRATEGY

Benchmark: Nifty 50 TRI

Section: Performance Comparison
Fund vs Benchmark Bar Graph

Compare fund returns and benchmark performance across multiple investment periods using a visual bar graph.

Section: Performance Comparison
Fund vs Benchmark Comparison Table

Review and compare fund returns against benchmark performance across different investment periods in a detailed tabular format.

Narnolia Financial Services Limited

AUM(Cr.) 1M 3M 6M 1Y 2Y 3Y 4Y 5Y Ince.
Performance ₹113.66 -2.46 -6.09 -9.16 -2.00 6.96 12.72 12.83 10.54 15.25
Benchmark NA -1.72 -6.30 -9.87 -3.84 3.35 9.53 10.37 9.87 12.61
Section: Fund Leadership
Meet the Fund Managers

Learn about the experienced fund managers responsible for investment decisions, portfolio strategy, and long-term fund performance.

Shailendra Kumar

Shailendra Kumar

Shailendra Kumar is the Co-Founder and Chief Investment Officer of Narnolia Financial Services, where he oversees the firm's investment philosophy and asset management strategies. With over 25 years of experience in the Indian capital markets, he is the pioneer behind Narnolia’s proprietary "NS-Portfolio Strategy," which focuses on identifying high-growth businesses through a blend of fundamental and quantitative analysis. Under his leadership, the firm has grown into a leading investment advisory, managing a wide array of PMS and AIF offerings. Kumar is widely recognized for his data-driven approach to wealth creation and his ability to navigate volatile market cycles by prioritizing risk-adjusted returns for long-term investors.

Section: Contact Us
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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.