At Kriis, our core strategy is to identify companies in less than 30,000 crore market, who though small but have strong tailwinds to grow and generate wealth for our investors.
Picking companies in less than 30,000 crores requires us to dig deep to cherry-pick the companies with sound capital allocation track record, clean accounts, and robust fundamentals.
We then combine those gems with a few large caps for portfolio stability. Although the identified companies are in itself less volatile than the benchmark index, the flavor of large-cap even reduces the volatility without meddling with the alpha generation.
Checks around Clean accounting, Board Composition, Transparency.
Historical Financial Analysis, Analysis of Qualitative Annual Report Commentaries, Capital Allocation Decisions, Subsidiaries, Associates, JV and Investment Analysis.
Promoter’s Family background, Promoter’s Education, Technical capabilities, successor, decision making leadership team, political links, etc. We prefer family run businesses which are run professionally.
Company’s competitive position in the industry, its Moat, the barriers to entry in the business. These are analysed through SWOT analysis and Porter’s five forces model.
We prefer growth at reasonable valuation and are strong proponents of Free Cash Flow and Relative Valuations.
KRIIS Portfolio Pvt. Ltd. is a Portfolio Management Company registered with SEBI (No. INP000006545) and is subject to its rules and regulations regarding capital requirements, disclosure and auditing norms.
Ⓒ 2021 KRIIS | Designed & Developed with ❤️ By Brand My Style