Dream Big Series - Mid Cap Maestro

This FidelFolio mid-cap strategy targets quality, growth-oriented companies with strong earnings and disciplined risk control. Focused on consumer-centric mid-to-large caps, it aims to deliver consistent alpha and sustainable wealth creation through robust fundamentals and attractive valuations.

Return Characteristics

Outperformance Thatโ€™s Consistent, Resilient & Proven

26%
2Yr CAGR (Mean vs Nifty 15%)
25%
2Yr CAGR (Median vs Nifty 13%)
0.0772
Downside Risk (vs Nifty 0.0987)
3.3
Sortino Ratio (vs Nifty 1.5)
66%
Prob. of >15% 2Yr Returns (vs Nifty 43%)
17%
10Yr CAGR FY14โ€“24 (vs Nifty 13%)

This rule-based strategy exhibits compelling performance, significantly outperforming the Nifty 50 over multiple horizons based on a 25-year back test.

For the 2-year rolling CAGR, the strategy delivers a mean return of 26% and a median of 25%, markedly higher than the Nifty 50โ€™s 15% mean and 13% median.

Downside risk, measured as the probability of returns falling below a 15% minimum acceptable return (MAR), is substantially lower for the strategy at 0.0772, compared to the Niftyโ€™s 0.0987, highlighting its superior capital preservation.

The Sortino ratio of 3.3 versus Niftyโ€™s 1.5 underscores the strategyโ€™s robust risk-adjusted returns.

Additionally, the strategy boasts a 66% probability of attaining 15%+ returns over 2 years, significantly above the Niftyโ€™s 43%.

Over the decade spanning FY14โ€“24, the strategy sustained a 17% CAGR, comfortably outperforming the Niftyโ€™s 13%, reinforcing its consistency and resilience across market cycles.

Metric Dream Big Series - Mid Cap Maestro Nifty 50
Mean (2Yr CAGR) 26% 15%
Median (2Yr CAGR) 25% 13%
Downside Risk (MAR < 15%) (2Yr CAGR) 7.72% 9.86%
Sortino Ratio 3.3 1.5
Probability of 15%+ Returns (3Yr CAGR) 66% 43%
10Yr CAGR (FY14-24) 17% 13%
Mean/Median
2Yr CAGR avg or midpoint return
Downside Risk
Rolling 2Yr CAGR < 0% count
Sortino Ratio
Return for downside volatility
15%+ Probability
% of 3Yr CAGR over 15%
Avg CY Returns
Average yearly return FY14โ€“24

Business Quality Snapshot

What Defines the Fidelfolio Portfolio

โ‚น26,000 Cr
Avg Market Cap
25%+
ROCE
25%+
ROE
12โ€“15%
Revenue Growth (1โ€“2Y)
15โ€“18%
PAT Growth (1โ€“2Y)
15โ€“20x
P/E Multiples
Contribution Split
61% PAT
39% P/E

The core portfolio is composed of mid-to-large cap companies averaging โ‚น26,000 crore in market capitalization, with a diversified sector spread biased towards B2C businesses known for stable and predictable earnings streams.

Capital efficiency remains strong, with the portfolio companies delivering ROCE and ROE above 25%, indicating effective capital deployment and shareholder value creation.

Growth metrics are robust, evidenced by PAT growth of 15โ€“18% and revenue growth of 12โ€“15% over 1โ€“2 years, signaling healthy operational momentum.

Valuation levels are measured and balanced, with the portfolio typically trading at a 15โ€“20x P/E, offering reasonable entry points relative to earnings quality and growth prospects.

Furthermore, the portfolio exhibits an average PAT contribution of 61% and a P/E contribution of 39%, reflecting a blend of quality growth with valuation discipline.

Dream Big Series - Mid Cap Maestro business quality
Figure 1: Business Quality Snapshot for Mid Cap Maestro Dream Fund
๐Ÿ“ˆ
ROCE / ROE
Measures how efficiently a company uses its capital or equity to generate profits.
๐Ÿ’น
PAT / Revenue Growth
Tracks compound growth in profits and revenue over different time periods.
๐Ÿ“Š
PE Re-Rating
Return from changes in valuation multiple (Price to Earnings).
๐Ÿงฎ
TPE (Total PE)
Average Price to Earnings ratio showing market valuation.
๐Ÿข
Market Cap Range
Size of a company as measured by its total market capitalization.

What Makes FidelFolio Different

Discover how FidelFolio empowers investors with transparent, data-driven investment strategies grounded in 25+ years of historical analysis.

๐Ÿ“ฐ
No Headline Chasing
Focus on data, not market noise.
๐ŸŽฏ
No Gut Investing
Rule-based, disciplined strategy.
๐Ÿ’ฐ
No Timing
We are systemic long-term.

Introducing MAGIC 2.0 โ€“ AI for Smarter Investing

Our proprietary AI-ML engine, MAGIC 2.0, tests and combines over 3 lakh investment rules, leveraging decades of financial data to surface the most reliable strategies.

  • 20 elite rules powering the Large Cap Dream Funds
  • High-return strategies with low downside risk
  • Fully transparent fixed-fee structure
๐Ÿ“Š
25+ Years
of backtesting
๐Ÿ“ˆ
50M+
data points analyzed
๐Ÿ”
3 Lakh+
investment rules tested

Why Trust FidelFolio

At FidelFolio, we prioritize transparency, credibility, and investor-first principles to build confidence and long-term wealth.

๐Ÿ“œ SEBI Registered โ€” Reg. No. INA000016056
๐Ÿง  25+ years of market testing & 50M+ data points analyzed
๐Ÿ‘ฅ Trusted by retail investors, family offices & advisors
๐Ÿงช Deep domain expertise in finance, quant & data science
๐Ÿ”’ 100% transparent pricing & aligned incentives

Weโ€™re not just building portfolios. Weโ€™re building investor confidence.

Check out our Portfolio

Frequently Asked Questions

๐Ÿง 
What is their investment philosophy?

At FidelFolio, we follow a quantitative long-term investing approach based on fundamental analysis. Over long-term, companyโ€™s business fundamentals determine investment outcomes. Read more about our Investment process.

๐Ÿ’ผ
Whatโ€™s the minimum investment?

โ‚น34,000 via your own Smallcase account.

๐Ÿ”
How often is the portfolio rebalanced?

Typically once a quarter or when required, with a long-term perspective.

๐Ÿ’ฐ
What are the fees?

A flat, fixed advisory fee. No hidden charges, no commissions.

๐Ÿ“Œ
Is this a mutual fund?

No. Itโ€™s a rule-based portfolio managed via your Smallcase account. You keep full control of your investments.

The Market Reward Discipline. Not Guesswork

If youโ€™re ready to leave behind high fees, emotion-driven investing, and inconsistent returns, itโ€™s time to upgrade.

Before you move ahead

Understand Key Terms

Live Performance

It depicts the actual and verifiable returns generated by the portfolios of SEBI registered entities. Live performance does not include any backtested data or claim and does not guarantee future return.

Disclosures

By proceeding, you understand that investments are subjected to market risks and agree that returns shown on the platform were not used as an advertisement or promotion to influence your investment decisions

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