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- Introduction
The Investogainer Model Portfolio is a professionally curated equity basket designed for long-term wealth creation.
Each portfolio is constructed through a disciplined research framework that blends fundamental strength, technical momentum, and a strict risk-management process.
Our objective is simple: help investors grow their capital through quality-driven, research-backed stock selection. - Investment Philosophy
Our model portfolios are built on three core principles:
(A) Quality as the Foundation
We prioritise companies that demonstrate:
Robust financial strength
Predictable cash flows
Consistent earnings track record
Efficient capital allocation
High governance standards
These traits help reduce downside risk while building a strong long-term compounding base.(B) Growth with Resilience
A long-term portfolio must not only grow but also withstand market volatility.Therefore, we focus on:
Secular growth themes
Industry leaders
Strong competitive moats
Scalable business models(C) Disciplined Risk Management
No portfolio succeeds without risk control.Our structure includes:
Diversification across sectors
Thoughtful position sizing
Avoiding low-quality speculative stocks
Quarterly monitoring and rebalancing- Research & Selection Framework
We use a combination of quantitative and qualitative analysis to identify high-conviction opportunities.
Quantitative Analysis
Revenue & Profit Growth (3–5 year consistency)
ROE / ROCE trend analysis
Debt-to-Equity & leverage profile
Operating margin stability
Cash flow strength
Relative strength & technical trend confirmationQualitative Analysis
Management quality & corporate governance
Industry outlook and demand visibility
Brand value & market leadership
Product innovation and expansion plans
Risks, regulatory environment, and competitionThis dual-layer research approach ensures every stock in the portfolio has clear justification and long-term value creation potential.
- Types of Model Portfolios
- Conservative Portfolio
Designed for: Low-risk investors, retirees, and first-time equity investors
Objective: Steady compounding with low volatility
Structure:
70–80% Large Caps
20–30% Mid CapsCharacteristics:
High stability
Proven business models
Lower drawdowns during market corrections- Moderate Portfolio
Designed for: Balanced investors looking for Growth + Stability
Objective: Enhanced returns with controlled risk
Structure:
50% Large Caps
40% Mid Caps
10% Small CapsCharacteristics:
Blend of stability and growth
Suitable for medium to long-term horizons
Ideal for salaried professionals and family investors- Aggressive Portfolio
Designed for: High-risk investors seeking faster compounding
Objective: High growth potential
Structure:
50% Mid Caps
40% Small Caps
10% Large CapsCharacteristics:
Higher volatility accepted
Early-stage and high-growth themes
Targeted toward long-term wealth maximisation- Portfolio Structure & Components
Each Investogainer Model Portfolio includes:
12–20 carefully selected stocks
Sector-wise diversification to reduce concentration risk
Recommended allocation percentage for each stock
Entry range or accumulation band
Investment horizon (Short / Medium / Long-Term)
Quarterly review and rebalancing plan
Risk rating (Low / Moderate / High)
Rationale for each stock (business strength + valuation + technical setup) - Monitoring & Rebalancing
We continuously track:
Quarterly results
Sector rotations
Technical trend shifts
Fundamental changes
Major news & management updates
Rebalancing is recommended quarterly or on major trend reversals to maintain the portfolio’s risk–reward balance.
- Benefits of Investogainer Model Portfolio
Built by a SEBI Registered Research Analyst (INH000012856)
Backed by 10+ years of market research expertise
Professionally structured & easy to follow
Reduces the need for frequent stock hunting
Helps maintain discipline and avoid emotional decision-making
Ideal for long-term wealth creation
Transparent, research-backed framework
BSE Enlisted (Code: 5845)8. Who Should Use This Portfolio?
This portfolio is ideal for:
Salaried individuals
Business owners
Long-term investors
Beginners who want a guided approach
Investors seeking diversification & clarity
Those who prefer a structured investment discipline - Disclaimer
The Model Portfolio is a research-based recommendation and not personalised investment advice.
Market investments involve risks, and investors must consider their financial profile, risk appetite, and investment goals before acting on the recommendations.
- Introduction