What is CAGR?

CAGR or Compound Annual Growth Rate, is a financial metric that provides a smoothed annual rate of return over a specified time period. While it may seem like a simple formula, the implications of CAGR extend far beyond numbers they form the cornerstone of a strategic and patient approach to investing.

To calculate Absolute Returns, you should be good at addition. But to calculate CAGR Returns, you should be good at multiplying.

We at CAGR acknowledge the power of exponential expansion. The idea that small, consistent gains, when compounded over time, result in substantial overall growth.

What "UTTER UNCONVENTIONALISM" means for you?

Unconventional Resilence

We strive for a unique and adaptive ability to withstand, recover, and thrive in the face of unexpected or non-traditional challenges within the investing market. It implies an innovative and flexible approach to navigating market uncertainties and disruptions showcasing the capacity to bounce back and even prosper in unconventional or unforeseen circumstances.

Our key strategy to put this into action lies in the agility in adapting to the changing market conditions, mitigate potential downsides, leveraging technology and data analytics, exploring non-traditional and alternative asset classes, understanding global perspective, and fostering a culture of innovation and learning.

Unconventional Growth

A realm where conventional norms are redefined, we belive in charting a course that is beyond the ordinary, for financial empowerment and creating a fortune. Backed by intensive research and data models, we prefer investments which are supported by securities with superior earnings growth & driven by sustainable competitive advantage.

We believe that in the long term, the market is a mirror of earning growth and hence, consistent earnings growth is prerequisite, added with proven management teams and with a strong product portfolio.
This translates to suitable investment over years to unleash the power of compounding and to generating tremendous wealth to our investors.

Unconventional Risk-Management

Our commitment goes beyond mere returns. Operational, technological, and environmental stressors and nothing new in the investment world. In response to these threats, the role of risk-adjusted investment strategy as a line of defense requires a bedrock of unconventional risk management strategies.

Our key focus on diversification, transparent reporting, innovative tools, and a disciplined exit strategy helps us navigate uncharted waters, such that we inherently mitigate market risks.

Founder

Vansh Nanavati is the Founder at CAGR Ventures. He possesses panoramic expertise in various financial investment grade avenues with a pinpoint proficiency for Fixed Income Market and fundamental Research in Stocks.

He has an omni-disciplinary understanding of Macro and Micro-Economics, Polity and Governance, Finance, Environmental Ecology, Technology, and Human Psychology; which helps him combine his academic knowledge with real-world insights to craft personalized financial strategies for our clients. Additionally, it helps to broaden his circle of competence to finding better compounders over different market cycles.

Away from financial world, he is an avid enthusiast of diverse interests; his love for watching movies and listening to podcasts has helped him to be a good critique and a story sailor. Trekking holds a special place in his heart, which helps him to draw parallels between the challenges of the trail and the challenges of managing wealth, he embraces the importance of resilience and forward momentum.

Vansh Nanavati