Indian stocks are finally turning. There remain plenty of tailwinds to support the rally. Capture the upside with GLIN's “growth at a reasonable price” strategy.
After a record bull run, growth has fallen out of favor in India. But downcycles don't last forever. GLIN's growth strategy could lead the way when the cycle turns.
India's bull market faces some road bumps. But the culprits are cyclical and should pass. Position for an eventual recovery with GLIN's 'GARP' strategy.
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The fund described operates as an investment entity that channels a significant portion of its assets into a Subsidiary located in the Republic of Mauritius. This strategic move allows the fund to potentially leverage the regulatory, tax, and investment advantages offered by Mauritius, a jurisdiction known for its stable economic environment and investor-friendly climate. The investments focus mainly on equity securities, which are selected based on a proprietary scoring methodology developed by the index provider. This methodology aims to identify those securities that exhibit favorable fundamental characteristics, offering the potential for strong returns. The approach signifies a meticulous, criteria-based selection process to ensure that the investments align with the fund's performance objectives.
The fund's investment strategy revolves around a core product offering, characterized by its reliance on a Subsidiary in Mauritius for the bulk of its investment activities. Below are the key components of the fund's products and services:
At the heart of the fund’s product offering is the significant investment in its Subsidiary based in the Republic of Mauritius. This strategic allocation is designed to exploit the unique investment opportunities and benefits available in Mauritius. It enables the fund to operate within a favorable regulatory and tax framework, potentially enhancing returns for investors.
The fund primarily focuses on investing in equity securities, which have been identified through a proprietary scoring methodology. This process evaluates securities based on their fundamental characteristics, aiming to select those with the best potential for growth and stability. This approach underlines the fund’s commitment to a research-driven, systematic investment strategy in pursuit of superior returns.