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Green Portfolio MNC Advantage

Scheme Rating

IME Scheme Rating

3 of 5 stars

A call on the specific theme: We typically do not recommend Thematic funds to investors, since it requires getting in and out of the theme at the right time. Typically a strong contra approach (investing in themes when they are out of favour, and getting out when they are popular) leads to better performance, but this is very hard to actually implement in practice given strong behavioural instincts against such an approach (investors often end up entering themes post a run-up, which can often be the worst time to invest). In our view, thematic funds are primarily suitable for more astute investors who have a deep underlying understanding of the investment merits of the theme.

IME Strategy Rating

3 of 5 stars

Muticap Strategy: Green Portfolio MNC Advantage primarily invests in Multi-National companies with inherent business strength, competitive product portfolio and technology, growth potential, corporate governance, valuation comfort, and margin of safety.

PMS Scheme Ratings are driven by IME’s Proprietary Scheme Rating Methodology, which takes into account our ratings of the Scheme’s investment strategy, its maturity, the investment team, and our separate rating on the AMC that runs this particular scheme. Our views on each of these individual criteria are available via the IME RMS – which you can view by reaching out to one of our relationship managers (using either the live chat or book appointment feature on this site).

IME View on Green Portfolio MNC Advantage

Type: MNC | Thematic | AUM (18.1 cr) | Inc Date (23 September 2019)

Green Portfolio MNC Advantage- Investment Strategy

Green Portfolio MNC Advantage is a thematic fund. The scheme invests in multinational companies with strong parentage, brand, and market share. These companies have access to global research, products and experience, and have a good corporate governance structure.

Trailing Performance

1yr 3yr 5yr Since Inception
Green Portfolio MNC Advantage 44.6 27.7 30.6 30.4
S&P BSE 500 TRI 41.1 18.4 22.4 21.9
Alpha over Broad Mkt BM 3.5 9.3 8.2 8.5

Performance as of: 30-Sep-24 | Inception Date: 23-Sep-19

Fund Managers

Divam Sharma | 2-star rated FM

CEO, Co-Founder | 17 yrs Experience | 6 yrs at current firm

Past Experience: Fintech, Analyst (Indifi), Financial Analyst (IMGC), Credit Analyst – Head Tricity (Citibank), Financial Analyst (Citibank India), Credit Manager (Kotak Mahindra Bank)

Divam has over a decade of investing experience, including 6 years as Financial Analyst with Banks including Kotak Mahindra Bank, Citibank, and IMGC.

Anuj Jain | 2-star rated FM

Co-Founder, Head of Research | 16 yrs Experience | 6 yrs at current firm

Past Experience: CA (Jan D Bansal & Co), Article Assistant (SN Nanda & Co)

Anuj Jain is a co-founder and research partner at Green Portfolio. Prior to founding Green portfolio, Anuj was a CA engaged in consulting individuals and corporate clients on various aspects as such as taxation, auditing and portfolio management. Anuj Jain has completed his BCom in 2007 from Shyam Lal College and cleared the CA from ICAI in 2011.

Fee Structure

Fee StructureFee
Fixed Fee Structure2
Variable Fee Structures0% fixed + 20% above 8% hurdle
Exit Fees

AMC

AMC: Green Portfolio PMS (click link for detailed AMC review)

Not a recommended AMC: Green Portfolio is a relatively new PMS provider, that has managed to both scale well and also deliver a reasonably strong performance in their initial years. The primary reason for a 2-star rating, is driven by the lack of a past public-market track record of their investment team & the fact that the strategies do not yet have a 5-year track record. As the strategies mature and longer-term performance develops to help us evaluate consistency of longer-term performance, we may consider upgrading our rating.

Green Portfolio PMS does not meet our criteria for PMS AMC Selection at this time. Understand our AMC rating criteria at AMC Rating Criteria or contact us via the LiveChat to learn more.