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facebook 美国
435
热度
5286
展示估值
24
投放天数
2025-08-18
最新发现
Reliable aggregate
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
The usage of the terms Hi-Quality and Hi- Growth Portfolios purely depicts Motilal Oswal AMC’s internal fund management strategy/ process which is based on qualitative and quantitative research parameters.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
39740
热度
487195
展示估值
88
投放天数
2025-06-16
最新发现
Reliable aggregate
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
The usage of the terms Hi-Quality and Hi- Growth Portfolios purely depicts Motilal Oswal AMC’s internal fund management strategy/ process which is based on qualitative and quantitative research parameters.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
39740
热度
487195
展示估值
88
投放天数
2025-06-16
最新发现
Reliable involve
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
The usage of the terms Hi-Quality and Hi- Growth Portfolios purely depicts Motilal Oswal AMC’s internal fund management strategy/ process which is based on qualitative and quantitative research parameters.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
39970
热度
487133
展示估值
114
投放天数
2025-05-20
最新发现
Reliable involve
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
The usage of the terms Hi-Quality and Hi- Growth Portfolios purely depicts Motilal Oswal AMC’s internal fund management strategy/ process which is based on qualitative and quantitative research parameters.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
39970
热度
487133
展示估值
114
投放天数
2025-05-20
最新发现
Reliable involve
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
The usage of the terms Hi-Quality and Hi- Growth Portfolios purely depicts Motilal Oswal AMC’s internal fund management strategy/ process which is based on qualitative and quantitative research parameters.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
39970
热度
487133
展示估值
114
投放天数
2025-05-20
最新发现
Reliable involve
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
The usage of the terms Hi-Quality and Hi- Growth Portfolios purely depicts Motilal Oswal AMC’s internal fund management strategy/ process which is based on qualitative and quantitative research parameters.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
39970
热度
487133
展示估值
114
投放天数
2025-05-20
最新发现
Reliable yesterday
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
37804
热度
462289
展示估值
115
投放天数
2025-05-20
最新发现
Reliable advice
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
37703
热度
461613
展示估值
141
投放天数
2025-04-24
最新发现
Reliable advice
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
37703
热度
461613
展示估值
141
投放天数
2025-04-24
最新发现
Reliable comparison
Data Source: MOAMC Internal Research.
Disclaimer
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully.
This Image has been issued on the basis of internal data, publicly available information and other sources believed to be reliable. All opinions, figures, charts/graphs, estimates and data that may have been included in this presentation are as on date and are subject to change without notice. The information / data herein alone is not sufficient and shouldn’t be used for the development or implementation of an investment strategy and It should not be construed as investment advice to any party. The Image does not warrant the completeness or accuracy of the information and disclaims all liabilities, losses and damages arising out of the use of this information. The investments may not be suited to all categories of investors. The value of the Portfolios can go up or down depending on various market factors. The statements contained herein may include statements of future expectations and other forward-looking statements that are based on our current views and assumptions and involve known and unknown risks and uncertainties that could cause actual results, performance or events to differ materially from those expressed or implied in such statements. Past performance may or may not be sustained in future. Investors are requested to note that as a manager to the products of various business segments offered by the portfolio Manager or its associates may have financial interest in the stocks/schemes that may have mentioned herein. performance related information provided herein is not verified by SEBI. The portfolio Manager is not responsible or liable for any loss resulting from the operations of the Investment Approach / Portfolios. Each portfolio will be exposed to various risks depending on the investment objective, investment approach and the asset allocation. Non-Diversified Portfolio tends to be more volatile than diversified portfolio. Please read the Disclosure Document before investing. The recipient is requested to take into consideration all the risk factors including their financial condition, suitability to risk return, etc. and take professional advice before investing.
Investment in securities is subject to market and other risks, and there is no assurance or guarantee that the objectives of any of the strategies of the Portfolio Management Services will be achieved. Please read the Disclosure document carefully. Clients under Portfolio management Services are not being offered any guaranteed/assured returns. Our PMS services are available in direct mode, to know more, write to us at pmsquery@motilaloswal.com.
Please refer APMI website (
https://www.apmiindia.org/apmi/WSIAConsolidateReport.htm?action=showReportMenu
). Under PMS Provider Name, please select Motilal Oswal Asset Management Company and select your Investment Approach Name for viewing the stated disclosure. The data for the previous month is usually available on the APMI portal on or after the 7th business day of the current month. All portfolio related holdings and sector data provided above is for model portfolio. Returns & Portfolio of client may vary vis-à-vis as compared to Investment Approach aggregate level returns due to various factors viz. timing of investment/ additional investment, timing of withdrawals, specific client mandates, variation of expenses charged & dividend income. Past performance may or may not be sustained in future and should not be used as a basis for comparison with other investments.
facebook 印度
38322
热度
462117
展示估值
179
投放天数
2025-03-17
最新发现
volatile
Manage your portfolio in highly volatile market. Join our team with different level of expertise from Long term investing to short term trading.
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2024-12-31
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