A comprehensive framework to identify high-quality companies with superior return ratios along with an established free cash flow track record, spanning multiple years.
The strategy is conscious of investing pitfalls and avoids investing in (i) Sub-standard businesses (ii) Avoids companies where management pedigree is questionable and (iii) Avoids buying stocks at exorbitantly high prices.
From the universe of around 200 stocks passing the above criteria, a 20-25 stock portfolio is created from stocks offering attractive value with respect to its historical or relative peer valuation.
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