Friday, July 17, 2026

My Investment Philosophy

 Every investor believes in how the world is going to move and reach a goal in future. Some may get it ight, while some may not.

For what it is worth, my logic of investment is as follows. Follow at your own peril even if you want to.


Stocks My investment philosophy









1) Data centers and AI to be future


2) Cloud computing large



3) 1 & 2 requires huge computing power and thus power is essential
4) Power, power distribution and electrical equipments in demand
5) Solar power key to increased power


6) Infra and pharma will be there for job generation and health
7) Beauty and beauty products and clothes as people want to look good
8) Fintech as ppl shun cash



9) To move all this around logistics & transportation


10) Defence to safeguard above










1) Data centers  HCL





LTIM





Tanla





Route





Techno Electric




Kaynes










2) Power
Tata power




NTPC





Havells





Epac





Msumi





SWSolar





Suzlon





CG Elect










3) Infra
KNR





Kaisen Nerolac




Heidengberg









4) Pharma Zydus





SRF





KIMS





Indraprastha 









5)  FMCG
Emami





Nykaa





Ambika

















6) Fintech
Paytm





jio Fin





Oracle










7)Logistic
TCI










8) Defence Bharat Forge









9) Auto
IMPL





Amarraja










10) Bank
HDFC





LIC





HDFC life





HBD





ICICI










11) Mkt
CAMS





BSE/NSE





CDSL





IGIL










Nobody can predict future. My selection is based on

a)  likely trends i expetct

b) promoter shareholding >50% (skin in the game)

c) past sales and pbt record of 15% growth and 20% growth respectively

d) PE lower than 25

e) Debt/Equity is <0.5

f) Market Cap of >1000 crores ( large companies only) 

Too many data can cause Analysis - Paralysis 

 













































































































































































































































































































































































































































































































































































































































































































































































































































































































































































 

Mutual Fund My investment Philosophy 1) more debt funds as you age 2) Large cap, multi asset - steady and diversified 3) Mid cap and small cap for alpha 4) Sector - for alpha 5) Index fund - sleepy investing 6) Banking- more funds around more needs 7) Overseas diversification 1) Debt ABSL corp bond Absl money mgr ICICI liquid Icici ultra liquid Hdfc liquid ABSL Floating ABSL life saving Bandhan gilt Axis all season Nippon india AAA PGIM arbitrage DSP Arbitrage DSP Fmaturity ABSL long duration HDFC bal adv fund HDFC corp bond Nippon nivesh lakshaya ICIci Lterm Bond ICICI bal advtg Edel gov. sect ICICI Gilt sbi magnum UTI money mkt 2) Large cap Axis blue chip hdfc top 100 icici multi asset 2a) Hybrid PP Con hybrid Baroda con hybrid HDFC hybrid ICICI eq and debt ICIcI multi asset SBI multicap pp Flexi PP ELSS 3)mid and small DSP ABSL 4) Sector Nippon pharma SBI healthcare Nippon banking 5) Index UTI nifty UTI next nifty SBI Sensex 6) banking Nippon banking 7) Overseas Edelweiss china Edel weiss Europ kotak FoF-US Mosl S&P-US

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