At LICMF PMS, our investments are strongly backed by incisive & unique in-house research and strong focus on risk adjusted returns.
We strongly believe in asset allocation as the cornerstone that helps investors in achieving long term returns and actively practice this in our offerings.
Our Equity portfolio selection combine bottom – up stock selection approach and a top-down macroeconomic view of the sector. We seek to achieve a balance between capital protection and capital appreciation by adopting time-tested principles & new age factor-based investing.
Our expertise in Debt will ensure you have numerous options to diversify your portfolio and optimise returns with measured risk exposure.
“if you don't have an investment philosophy, all you have is a market outlook. if you have an investment philosophy, you have no need for market outlook Choose.”