FidelFolio Safe Fortress
Invest in a quants mutual fund strategy designed for those seeking low-risk, long-term growth through stable compounders. Built using a combination of 56 Non-BFSI and 12 BFSI filters, Safe Fortress focuses on profit and cash flow-driven returns.
Low Risk | Long-term | Stable Compounders with Multi-decadal consistency | Low Churn & Leakage Cost
Performance
From 2020-08-20 To 21-06-2024
FidelFolio Safe Fortress
Equity Large Cap
₹ 118.57
₹ 133.43
Backtester performance graph
Key Growth Indicators
FidelFolio’s Safe Fortress quant large cap fund strategy focuses on profit and cash flow-driven returns by investing in high-quality companies that demonstrate resilience even in the toughest market conditions. With a long-term holding approach and low portfolio turnover, it minimizes leakage and impact costs, ensuring sustainable growth. The large cap investments strategy avoids market timing, emphasizing consistency and stability. Investment selection is based on fundamental analysis, incorporating 56 Non-BFSI filters along with 12 BFSI-specific filters to refine quality picks. With an average market capitalization of ₹1,73,000 crore, Safe Fortress is designed for investors seeking steady, long-term wealth creation.
Higher Returns
The fund has delivered an average annual return of 3.65% since December 2022, outperforming the benchmarks.
Lesser Drawdown
At its worst decline, the portfolio dropped by 29.8% vs Mid-Small 200 Index fell by 40.4%.
Low Risk Instrument
This mid cap investments strategy prioritizes fundamentally strong companies with consistent profitability, reducing downside risk. While market fluctuations exist, the focus on stable, high-quality businesses helps enhance long-term resilience.
Low Churn
This large cap mutual funds strategy follows a long-term investment approach with minimal portfolio turnover, reducing transaction costs and preserving capital efficiency.
Invest ₹1,43,713 today to take advantage of Safe Fortress Equity’s defensive equity strategy potential.
1. Highest 1 Year Return in 25 Years: 134% vs 95% for Nifty50
2. Lowest 1 Year Loss in 25 Years: -34% vs -52% for Nifty50
Investment Framework Driving Safe Fortress Equity
The Safe Fortress low risk investment strategies framework follows a disciplined, rule-based approach to selecting high-quality companies with consistent financial strength. It prioritizes businesses that have demonstrated stable revenue growth and strong profitability over extended periods.
High-Return Consistency
Focuses on companies that have delivered ROE >26% in at least 11 of the last 13 years, while almost never witnessing a decline in operating profits.
Long-Term, Low-Turnover Strategy
Built on 56 Non-BFSI and 12 BFSI filters, prioritizing profit and cash flow-driven returns with low portfolio turnover, minimizing leakage and impact costs.
No Market Timing, Only Quality Investing
Invests in high-quality businesses that thrive even in the toughest times, maintaining a long-term approach without relying on market timing.
Proven Performance Through Backtesting (5-Year Holding Period)
- Average Return: 19% vs 14% for Nifty50
- Risk (Standard Deviation): 6% vs 9% for Nifty50
- Sortino Ratio: 4.9x vs 2.7x for Nifty50
- Positive Return Occurrences: 100%
Bias-Free, Transparent Investing with FidelFolio
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Data-Driven Investment: Leveraging machine learning-backed, rule-based low volatility stocks strategies eliminates human biases, ensuring consistent, data-driven decisions.
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Expert-Led Precision: Our experienced team verifies the fundamental rationale behind safe long term investments rules created and selected by the system, ensuring strategies are backed by transparent, economically sound principles. fine-tunes machine learning models, ensuring strategies are backed by transparent, economically sound principles.
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Objective Portfolio Construction: We combine advanced analytics with proven rules to create capital protection funds portfolios that align with your long-term goals.
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Scalable and Adaptive: The low risk long term investments are robustly designed to deliver sustainable results across different market conditions and macroeconomic regimes, continuously adapting to optimize portfolio performance.
Are you making your own low risk portfolio strategy investment decisions? Try our backtester tool to test your own investment rules. Create screeners, run backtests, and analyze returns with ease.