Investment Philosophy
The firm's philosophy is defined by "Blue-Sky Thinking," which encourages an unbiased, ever-evolving approach to markets. Their strategy relies on three foundational pillars:
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Macro Top-Down Focus: Instead of purely bottom-up stock picking, they prioritize understanding the broader economic cycle to determine where capital should be deployed globally.
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Research-Driven Adaptation: Their proprietary research team collaborates to integrate insights across sectors and geographies. They adapt portfolios quickly to market stress, aiming to generate alpha regardless of bull or bear market conditions.
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Risk Management & Low Correlation: A core goal is to construct portfolios that exhibit low volatility and low correlation to traditional indices. By diversifying across non-traditional and traditional asset classes, they strive to protect capital while aiming for long-term growth.
Company Overview
PACE 360 positions itself as a "financial disruptor," blending traditional wisdom with modern algorithmic trading and deep macroeconomic analysis. Their core operations include:
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Macro-Driven Investing: They emphasize a "top-down" approach, analyzing global and domestic economic shifts to drive asset allocation.
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Multi-Asset Solutions: The firm does not limit itself to a single asset class. Their portfolios are dynamically allocated across domestic and global equities, fixed income, precious metals, and commodities.
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Bespoke Services: They offer customized solutions in global wealth management, alternative assets, and multi-family office services, aiming to generate returns that remain uncorrelated with the broader market.
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Global Footprint: With roots as an NSE/BSE stockbroker, the group has expanded to maintain a presence in over 75 Indian cities, servicing a diverse international client base.
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Pankaj Goel
Pankaj Goel, in his capacity as the CEO of Asset Management at PACE 360, serves as the pivotal strategic leader responsible for steering the firm’s rapid growth and operational excellence within the competitive investment landscape. Leveraging his extensive experience, he oversees the seamless execution of the firm's complex multi-asset strategies, ensuring that the organization maintains its commitment to macro-driven research and high-performance standards. Pankaj plays a vital role in integrating the firm's proprietary analytical frameworks with daily business operations, ensuring that the team remains agile in volatile market environments while simultaneously focusing on expanding the company's footprint and deepening its relationships with an elite, global clientele.
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