Fund Attributes |
|
|---|---|
| Domicile | Mauritius |
| Investment Manager | Abans Investment Manager Mauritius |
| Fund Administrator | Apex Fund Services (Mauritius) Ltd. |
| Structure | Open Ended |
| Currency | USD |
| Minimum Initial Subscription | USD 100,000 |
| Minimum Subsequent Subscription | USD 10,000 |
| Dealing Frequency | Weekly |
| Redemption Notice | on or before 25th of the month prior to the relevant Dealing Day |
| Lock-in Period | None |
| Exit Fees | 3% if redeemed before 1 year; 2% if redeemed before 2 years |
The key objective is to build long-term value by focusing on investments in high-growth publicly traded companies in India. By leveraging market research and analysis, the aim is to capitalize on India's dynamic economic landscape to achieve sustained appreciation and generate substantial returns over time.
The fund invests in equity of companies listed on stock exchanges in India that have fundamentally strong business outlook and are likely to provide higher return. The investment strategy focuses on identifying companies with robust financial health, competitive advantages, and growth potential, leveraging in-depth analysis of market trends and economic indicators. By selectively targeting high-performing stocks, the fund seeks to maximize capital appreciation and deliver superior returns to investors. The fund is overseen by Abans Broking Services Private Limited, a SEBI-regulated financial institution in India, serving as the Portfolio Manager.