What do we represent?

At CAGR, it's not about the thrill; it's about the fortune!

We believe in a strategic approach to wealth management that leverages the compounding effects to progressively build and grow one's financial assets.


In the context of investing, this signifies the idea that as initial investments generate returns, those returns, in turn, contribute to a larger base, leading to accelerated and compounded wealth growth over time.

We believe in Utter Unconventionalism
What does it mean for you?

Unconventional
Resilience

It reflects our ability to navigate and adapt to unexpected challenges and market fluctuations in sui generis and innovative ways.

Unconventional
Growth

Our approaches & strategies deviate from traditional or widely accepted investment methods. These unconventional strategies often involve unique perspectives, creative thinking, and a willingness to explore non-traditional assets

Unconventional
Risk-Management

Following active risk management involves continuously monitoring and adjusting the portfolio based on changing market conditions. This approach is more dynamic and responsive to emerging risks.



Investment Offerings

Direct Stocks

Indian Stocks and
Global Stocks

Mutual Funds

Equity, Debt, Hybrid and Specialized Funds

Bonds

Government and Corporate Bonds

Insurance

Life, Health and General Insurance

Peer to Peer Lending

RBI regulated & Fixed Income Opportunity

Portfolio Management Services

MarketCap, Sectoral,
Geographically &
Asset Class - Agnostic

Alternative Investment Funds

Category I,II and III Funds

Fixed Deposits / Commercial Papers

Bank and Corporates