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Stock Baskets

SEBI-registered research analysts across trading and investing. Compare plans and subscribe with one-tap journeys.

15
Total Advisors
20
Live Calls Now
Avg Hit Rate
16 advisors in Stock Baskets
Stock Baskets
Electronics Manufacturing
Electronics Manufacturing
Stock BasketsHighQuarterly

India’s electronics value chain is moving from assembly to high-value manufacturing, driving sustained ROCE expansion. Building Bharat’s Electronics Factory for the World • Objective: Aims to generate long-term wealth by investing in companies powering India’s rise as a global electronics manufacturing hub — spanning components, assemblies, and integrated manufacturing services. • Strategy: Constructs a focused portfolio of businesses involved in electronics manufacturing services (EMS), component suppliers, PCB manufacturers, precision engineering, and electronics enablers benefiting from India’s manufacturing push. • Use Case: Ideal for aggressive, long-term investors seeking exposure to a policybacked, export-oriented manufacturing theme through SIPs or lump-sum investments. Simple, Model-Driven & Theme-First Investing • Manufacturing Value-Chain Approach: Covers key layers of electronics manufacturing — components, sub-assemblies, final assembly, and testing — reducing dependency on any single segment. • Structural Growth Tailwinds: Benefits from PLI schemes, global supply-chain diversification, rising domestic demand, and increasing localisation of electronics production. • Balanced Allocation: Equal-weighted exposure helps manage concentration risk while participating across the manufacturing ecosystem. Risk Discipline • Capital Discipline: Moves to Cash/Debt funds in adverse market conditions

Return till date
High
Volatility
11
Holdings
Minimum investment starts with ₹1,08,797
True Turtles MICROCAP LEADERS
True Turtles MICROCAP LEADERS
Stock BasketsHighNeed Basis

True Turtles Microcap Leaders focuses on identifying leadership within the Microcap universe using a disciplined and Rules-based investment approach. Instead of chasing narratives or isolated stock ideas, the portfolio systematically selects Microcap stocks demonstrating strong price trends and strength versus the broader market along with the ability to take dynamic cash calls during low Risk-Reward opportunities. The philosophy is simple : markets reward leadership over time, and even within microcaps, a small subset of stocks consistently outperform. By relying on objective parameters the strategy aims to stay aligned with stocks that are attracting sustained market participation, while avoiding prolonged under-performers. The portfolio is periodically reviewed and rebalanced, making it suitable for investors seeking a Systematic & Data-first approach to Microcap investing with a long-term perspective.

Return till date
High
Volatility
30
Holdings
Minimum investment starts with ₹4,03,395
AI & Data Center
AI & Data Center
Stock BasketsHighQuarterly

Investment Rationale India is witnessing a structural surge in data localisation, AI workloads, and cloud adoption. This captures the physical infrastructure layer that benefits irrespective of which tech platform wins. Bharat’s Data Superhighway — Powering Every AI, Cloud & Digital Revolution Objective: Aims to generate long-term wealth through a systematic portfolio of companies building the physical and digital infrastructure required for AI computing, cloud services, hyperscale data centers, and India’s expanding digital economy. Strategy: Uses a quantitative framework to build a portfolio across data center construction, power & cooling systems, electrical equipment, network infrastructure, cloud enablement, and AI-ready computing ecosystems. Use Case: Ideal for aggressive, future-focused investors seeking exposure to a infrastructure-backed AI opportunity through SIPs or lump-sum investments. Simple, Model-Driven & Quant Investing End-to-End Coverage: Covers the full stack — from land, power, cooling, and connectivity to AI-ready infrastructure that enables high-density compute. Structural Growth Tailwinds: Benefits from AI adoption, cloud migration, digital payments, 5G rollout, and India’s push to become a global data hub. Quant-based allocation framework dynamically manages exposure using price action, sector strength, and portfolio risk signals.

Return till date
High
Volatility
23
Holdings
Minimum investment starts with ₹89,325
Aviation & Aerospace
Aviation & Aerospace
Stock BasketsMediumQuarterly

Investment Rationale Objective: Portfolio focus on growth opportunities in India’s fast growing aviation ecosystem, including passenger air travel, airport infrastructure, aerospace manufacturing & aviation-linked engineering services with the potential to generate returns across market cycles. Strategy: Invests in companies across airlines & airports infrastructure developers, and aerospace/engineering service providers. Fast growing Air traffic, higher infrastructure spend, global outsourcing of aerospace manufacturing and design. Use Case: Suitable for agressive investors focusing on aviation and aerospace growth with a long-term perspective. Simple, Rules-Based Approach: Portfolio focuses on key aviation layers as passenger travel, airport infrastructure, supply chain & engineering services. Structural Growth Drivers: Rising domestic and international air passenger traffic, Government initiatives like regional connectivity schemes and airport privatization & modernization of airport infrastructure. Increasing global outsourcing of aerospace manufacturing to India with demand for engineering and design services. Growth in air cargo, logistics, and time-sensitive transport. Review & Risk Control: Stocks are reviewed Qarterly, Rebalanced if needed.

Return till date
Medium
Volatility
10
Holdings
Minimum investment starts with ₹1,01,498
Intrinsic Value Ranking filters
Intrinsic Value Ranking filters
Stock BasketsMODERATENeed Basis

Intrinsic Value follows 3 dimensional ranking system to unearth the market leaders The pool of 900 stocks is selected from total 4000 stocks on the stock market by removing Different Red flags. These 900 stocks are then ranked based on Intrinsic Value's 3-dimensional ranking system. Top 50 stocks are chosen among those and after due diligence, 25-35 stocks are bought through this Portfolio. Nos of stocks can vary from 10-20. Quarterly, Ranking system, and due diligence part is repeated and rebalancing is done. For first-year rebalancing can be frequent. after 1 year it will be 2-3 rebalances a year. Preferred amount of investment should be at least 2-3 lacs.

4Y CAGR
MODERATE
Volatility
15
Holdings
Minimum investment starts with ₹19,798
Midcap Growth
Midcap Growth
Stock BasketsHighMonthly

Why should you invest in this portfolio? High-Growth Strategy for Smart Investors: Objective: Aims to generate alpha over Index over time by investing in fast-growing companies. Strategy: Invests in 10–12 carefully selected midcap stocks showing strong business growth and market performance. Use Case: Suitable for aggressive investors who understand concepts of smart investing and want long-term wealth creation through SIPs or lump sum deployment. Simple, Model & Rules Based Investing Approach: Midcap Focus: Chooses midcap companies that are easy to buy and sell and have proven business strength Growth-Focused Selection: Picks midcap stocks that are growing faster than peers and showing positive price trends Balanced Allocation: Money is deployed equal weighted, evenly across stocks to reduce dependence on any single company Regular Review & Risk Control: Risk Control: Stocks are removed if business growth slows or performance weakens Cash Management: Portfolio is adjusted when suitable stock opportunities are limited Stability Focus: Portfolio aims to stay stable during uncertain market phases Execution & Investment Details: Rebalancing: Portfolio is reviewed and updated every month. Capital Allocation: Suitable for investments starting from ₹1-25 lakh. Monthly SIP: Monthly SIP on 10th date of each month.

3Y CAGR
High
Volatility
12
Holdings
Minimum investment starts with ₹67,994
Drone Growth Model
Drone Growth Model
Stock BasketsHighQuarterly

Drone : High-Growth at the Intersection of Agriculture, Technology & Defence Objective: Designed to capture smartwealth creation by investing in India’s drone Growth across agriculture, industrial services, and defence-linked applications. Strategy: Invests in a focused basket of companies in drone manufacturing, precision agri-tech services, data analytics, mapping, surveillance, and defence overlap — sectors backed by policy push and rising adoption. Use Case: Ideal for aggressive, future-focused investors who want exposure to an emerging sunrise theme through SIPs or lump-sum investments. Simple, Model-Driven & Rules-Based Approach Drone-First Selection: Companies with exposure to drone manufacturing, services, or enabling ecosystems. Growth Bias: Focus on businesses benefiting from Drone demand, government incentives, and scalable use cases. Balanced Allocation: Equal-weighted exposure helps reduce dependence on any single stock or sub-segment. Active Review & Risk Management Regular Monitoring: Reviewed periodically to ensure Growth stocks remains and losers are removed. Volatility Awareness: Portfolio aims to manage drawdowns during uncertain market phases while staying invested in the theme.

Return till date
High
Volatility
9
Holdings
Minimum investment starts with ₹43,236
Intrinsic Value CORE Portfolio
Intrinsic Value CORE Portfolio
Stock BasketsMODERATENeed Basis

The Intrinsic Value CORE Portfolio follows a disciplined value investing approach focused on identifying fundamentally strong businesses available at deeply undervalued prices. Investment Approach Out of favor sectors are selected based on Market cycles. 3 dimensional ranking is performed and top 3 stocks are selected The minimum intrinsic value of the stocks is calculated. Top Stocks are bought at their minimum intrinsic value. Hold till market cycle reverses, Sector performs. Exit near Maximum intrinsic value. Average holding per stock is 2.5 years. The portfolio will be rebalanced as per need basis. Preferred amount to invest should be atleast 4-5 lacs over the year. Objective The portfolio is designed for investors seeking a research-driven, long-term investment approach focused on wealth creation through disciplined value investing principles.

4Y CAGR
MODERATE
Volatility
17
Holdings
Minimum investment starts with ₹24,676
Intrinsic Value Cash King Theme
Intrinsic Value Cash King Theme
Stock BasketsMODERATENeed Basis

The Cash King Portfolio is designed for investors who prioritize capital preservation, liquidity, and asymmetric upside potential. This strategy selectively invests in companies that hold high cash reserves, maintain low or zero debt, and demonstrate sound capital allocation. These are businesses that not only survive downturns but emerge stronger from them. Why “Cash King”? • 🛡️ Downside Protection: Cash-rich companies have the cushion to withstand economic stress without resorting to equity dilution or borrowing. • 📈 Optionality in Tough Times: These companies can acquire distressed assets, invest in R&D, or expand operations while others struggle. • 🔍 High Governance Filters: We prioritize clean accounting, prudent management, and transparency in cash disclosures. • 🧾 Valuation Discipline: We do not overpay. Our buys are backed by valuation comfort with long-term wealth compounding in mind. Portfolio Characteristics: • Sector-agnostic but conservative in nature • Minimum debt-to-equity, high FCF yields • Regularly rebalanced based on quarterly data and triggers • Ideal for investors who value stability with intelligent offense Who is it for? This Portfolio is perfect for: ✅ Risk-conscious investors ✅ Cash flow-focused portfolios ✅ People waiting for the “right opportunity” to deploy capital wisely ✅ Investors looking for all-weather exposure with a long-term view.

3Y CAGR
MODERATE
Volatility
7
Holdings
Minimum investment starts with ₹5,429
Quality Bluechip
Quality Bluechip
Stock BasketsLowMonthly

Why should you invest in this portfolio? This Portfolio lets you invest in India's 10 biggest and most stable companies with ease. Ideal for investors with a period of 3-4 Years and Investment size of INR 5 to 30 Lacs. Hassle-Free & Peace of Mind Investing, enjoy consistent Returns with Need Basis rebalancing by a professional. This equal-weight strategy (10% in each company) keeps things simple and is suitable for long-term wealth creation through India's leading companies. Blue-chip companies typically overcome volatile markets and can generate steady returns. Salient Features: > Portfolio with a proven statistics of stable & Consistent earnings. > Stock selection Based on Growth Accelerated Momentum System. > Historical returns beats Nifty 100 index by a wide margin > All Weather reliable product can handle all market conditions maturely. > Capital protection with better returns than Benchmark. > Need Basis rebalanced portfolio,helps in keeping the churn & transaction costs low. > All stocks are held in your brokerage account, giving you complete control. Start small, invest smart! # It is important to note that investing always involves risk, and past performance is not a guarantee of future results. Any potential investor should thoroughly research and evaluate any recommendation or investment opportunity before deciding.

3Y CAGR
Low
Volatility
10
Holdings
Minimum investment starts with ₹55,770
Alpha Prime
Alpha Prime
Stock BasketsMediumNeed Basis

Alpha Prime has been created by our team of experts who have picked stocks with a strong competitive edge and are equipped to provide risk-adjusted returns. Alpha Prime consists of diversified companies that are worth your time and investment since it comprises of all-weather stocks, and still manages to maintain stability. We identify the titans of the industry - companies that provide strong growth prospects and functions under great management and governance.

Return till date
Medium
Volatility
27
Holdings
Minimum investment starts with ₹1,01,696
True Turtles WEALTH FOCUS
True Turtles WEALTH FOCUS
Stock BasketsLOWNeed Basis

- Constructed using a Quantitative, Rule-based framework specially designed from HNIs perspective. - Combines signals derived from multiple timeframes to identify emerging strength across sectors/stocks - The approach focuses on systematic stock selection, aiming to capture sustained trends while maintaining consistency and objectivity - Diversified Stock Portfolio, to reduce concentration risk and maintain balanced exposure - Systematic Trend Participation, focused on holding strength and exiting weakness early - Dynamic Cash Allocation and ability to reduce exposure during broader market weakness - Active Monitoring & Rebalancing to align the portfolio with evolving market conditions

Return till date
LOW
Volatility
25
Holdings
Minimum investment starts with ₹5,82,233
True Turtles TREND MASTER
True Turtles TREND MASTER
Stock BasketsLOWNeed Basis

Systematic Trend-Following Model: Uses predefined, rule-based logic to identify and follow established trends Data-Driven Framework: Built on quantitative research and structured model design. Disciplined Decision-Making: Removes emotional bias by relying on objective signals rather than view or predictions. Momentum Participation: Aims to capture meaningful directional market moves Risk-Controlled Structure: Ability to take dynamic cash calls along with predefined risk parameters to maintain consistency across market conditions. No Guesswork: Helps investors stay aligned with market direction without frequent monitoring or discretionary intervention. Long-Term Orientation: Designed to support steady, trend-driven compounding through disciplined participation.

Return till date
LOW
Volatility
24
Holdings
Minimum investment starts with ₹5,80,840
India Capex & Manufacturing Theme
India Capex & Manufacturing Theme
Stock BasketsQuarterly

This thematic basket is designed to capture India’s multi-year capex, manufacturing, infrastructure, defence and electrification opportunity. It combines established infrastructure leaders, industrial automation companies, defence-electronics players, power utilities, cable manufacturers, cement companies and electronics manufacturing businesses. The objective is to provide diversified exposure to companies that may benefit from higher public and private capital expenditure, power demand growth, infrastructure development, domestic manufacturing expansion and energy transition. The basket is suitable for investors with a high-risk appetite and a long-term investment horizon. Performance may be volatile due to valuation risk, sector rotation, execution delays and macroeconomic changes.

Return till date
—
Volatility
11
Holdings
Minimum investment starts with ₹1,92,666
Alpha All Rounder
Alpha All Rounder
Stock BasketsMediumNeed Basis

Alpha Allrounder portfolio is Flexi Cap oriented strategy and adopts a true to label flexi cap approach by investing in companies across market capitalizations. The portfolio shall invest in high quality, high growth companies at reasonable valuations. It is a diversified portfolio with no sector bias and is constructed on bottoms up basis with best investment ideas. The Portfolio aims to deliver superior risk adjusted returns with moderate volatility.

Return till date
Medium
Volatility
30
Holdings
Minimum investment starts with ₹55,447
CWA Defence
CWA Defence
Stock BasketsHighWeekly

Recommended Investment amount : 5 to 15 lakhs Recommended investment duration : 3 years and more CWA Defence is a Systematic Long-only portfolio run by Compounding Wealth Advisors LLP. CWA Defence tracks the Indian Defence sector and invests in the best suited Stocks of the Defence Space. Number of stocks can vary from 5 to 10 as per the system Every stock gets approximately 10-20% allocation at the time of entry Portfolio rebalancing shall be done on a weekly basis We aim to ride our winners and cut our losers short We have managed to build completely rule based systematic long only strategies around these core ideas which cut out any discretion with regards to stock selection and position sizing. Systematic investing removes dependency on any particular stock and believes in selective diversification

Return till date
High
Volatility
10
Holdings
Minimum investment starts with ₹93,133