Equity Management Say Yes To Life Services Tax Saving Mutual Funds Insurance Equity Investment Risk Pro fi ling Child Education Retirement Solutions Asset Solutions NRI Services Estate Planning Fund managers approach various strategies to manage the equity in the portfolio, some of which are the Value Approach, Growth Style, Quality Style, Bottom-Up Approach, and Top-Down Approach. Equity is simply the backbone of the economy and can be enhanced by investing in the right stock at the right time at the right valuation. Before managing equity, we have to analyze The company products Its business model, and, The critical elements of the business. OPEN FREE DEMAT ACCOUNT INSTANTLY When all these three aspects are good to go, most of the work is fi nished in managing the equity. The business cycles across the world, as well as the stocks, are dynamic in nature. So in perceivable terms, some stocks may seem to be cheap, but they are technically expensive, and vice versa. At Imperial Money, we believe in diversi fi cation of portfolio for better risk adjusted returns is essential, and thus, we also follow a dynamic strategy in the equally market. With our research team ’ s detailed analysis of the ecosystem, our clients understand the markets and clearly see why, when, which, and how much stock to buy and sell. Our equity portfolio philosophy also focuses on several strategies for stocks. “ Stock picking ” is the concept of focusing on the evaluation of a stock keeping the fi nancial security as well as the business prospects of the client in mind. This way, our clients invest in some stocks with considering the market and economic changes, moving into defensive stocks, and putting cash in the undervalued markets. CLIENT LOGIN Home About Us Services MF Tools Research Blog Contact Us Our dedicated team focuses on a fundamental equity value analysis, assessing the business prospects, noticing the track record of a company and its management. There is also a detailed study of the business ’ s operational environment, thus reviewing all the public data and third-party research work on the company. We are the sub-broker with smc global securities ltd. Investment in securities and commodities market are subject to market risks, read all the related documents carefully before investing. SMC Global Securities Ltd. (CIN : U67120DL1997PLC188881): Pratibha Gajbe – AP0820097901 And stoxkart product of Moneywise Finvest Limited CIN No.: U67100UP2009FLC088874. Imperial Money Pvt. Ltd. – BDSTX0600 Equity to life hai! Khul Ke Jiyo Sign Up A company with high customer satisfaction rate since mid 2011, Imperial Money had engaged in providing comprehensive Financial distribution services to individuals. We help you to make smart investment choices with your money to get optimum returns. Quick Links Client Login MF Tools Downloads Blog Market Updates Financial Calculators Our Services Tax Savings Mutual Funds Insurance Equity Investment Get In Touch 302, Royal Vista, Opp. Dhantoli Garden Main Gate, Dhantoli, Nagpur - 440012 (+91) 9595 8899 88 (0712) 2454477 wecare@imperial fi n.com Imperial Money Pvt. Ltd. makes no warranties or representations, express or implied, on products o ff ered through the platform. It accepts no liability for any damages or losses, however caused, in connection with the use of, or on the reliance of its product or related services. Unless otherwise speci fi ed, all returns, expense ratio, NAV, etc are historical and for illustrative purposes only. Future will vary greatly and depends on personal and market circumstances. The information provided by our blog is educational only and is not investment or tax advice. Mutual fund investments are subject to market risks. Please read all scheme related documents carefully before investing. Past performance of the schemes is neither an indicator nor a guarantee of future performance. Terms and conditions of the website/app are applicable. Privacy policy of the website is applicable. Copyright 2021 IMPERIAL MONEY Disclaimer | Disclosure | Privacy Policy | T & C.