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ING India Large Cap Quant Equity Portfolio is a optimally focused portfolio of large cap securities with an objective to significantly outperform Nifty with the risk lesser than the benchmark (S&P CNX Nifty Index). ING Investment Management India uses quantitative proprietary models (which is used as an input by the portfolio manager) to construct an equity portfolio of stocks. The model factors in a diverse range of attributes to provide the most optimal risk adjusted portfolio.
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ING BSE-200 Quant Equity Portfolio is a large-cap biased strategy. The investment objective of the BSE-200 is to construct optimal focused portfolio of large & mid cap securities to significantly outperform BSE-200 with the risk lesser than the benchmark (BSE-200 Index). ING Investment Management India uses quantitative proprietary models (which is used as an input by the portfolio manager) to construct an equity portfolio of stocks. The model factors in a diverse range of attributes to provide the most optimal risk adjusted portfolio.
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ING ADAPT is a Multi Asset product which uses Active and Dynamic Asset Allocation to generate risk adjusted optimal returns. ING ADAPT offers 5 different investment options based on different client profiles. The investment options are classified as Very Conservative, Conservative, Moderate, Aggressive & Very Aggressive. The asset allocation will be monitored actively to keep in line with the defined risk bands for each of the investment options.
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