USE THE POWER OF MARKETSMOJO TO CREATE YOUR IDEAL PORTFOLIO
STEP 1

Select the country you wish to create a Model Portfolio for:

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STEP 2

Choose your portfolio based on risk profile

Minimum investment {{sel_merchant.min_investment|number:0}}; Maximum investment {{sel_merchant.max_investment|number:0}};

STEP 3

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Number of Stocks - {{risk_profile.rules.ideal_stock}}

Market Cap Allocations -
Mega & Large Cap: {{risk_profile.rules.mcap_limit.large_cap > 0 ? "Up to "+risk_profile.rules.mcap_limit.large_cap +"%" : 0}}; Mid Cap: {{risk_profile.rules.mcap_limit.mid_cap > 0 ? "Up to "+risk_profile.rules.mcap_limit.mid_cap +"%" : 0}}; Small & Micro Cap: {{risk_profile.rules.mcap_limit.sm_cap > 0 ? "Up to "+risk_profile.rules.mcap_limit.sm_cap +"%" : 0}}

Per Stock Allocation - {{risk_profile.rules.stock_limit}}%

Sector Allocation - Up to {{risk_profile.rules.sector_limit}}%;

Benchmark: {{risk_profile.benchmark_name}}

STEP 4

Please confirm that you have read and understood the disclaimers.

Disclaimer

Investments in securities market are subject to market risks, read all the related documents carefully before investing. Past Performance is not necessarily indicative of future returns. Each potential investor is advised to exercise his/her own discretion and judgement and consider one’ own risk profile before investing. Opinions and views expressed by the Company or any of its employees, associates, and website should not be considered as any guarantee towards earning returns. Our rating methodology is based on parameters of quality, valuation, current financial trends and technical analysis. The performance displayed is based on the back-tested analysis and there is no guarantee that this can be achieved in future. The information/document contained herein has been prepared by Mojo Markets Pvt Ltd. and is intended for use only by the person or entity to which it is addressed to. This information/document may contain confidential and/or privileged material and is not for any type of circulation and any review, retransmission, or any other use is strictly prohibited

HOW TO USE THIS SECTION

Decide the investment amount and your profile - input your amount and select your profile and we generate the most optimum portfolio for you.

Use your own broker - you would get a trade sheet and you can buy the portfolio stocks through your own broker.

Track your investments – you can track your investments real time via our desktop site or app.

Real-time monitoring - we watch out for your portfolio and if there is any further buy and sell, you would get a mail and notification and you need to execute the same via your broker.

Multiple portfolios or add cash - you can invest in multiple portfolios and also add more money to your existing portfolio.

FREQUENTLY ASKED QUESTIONS

You can invest between Rs 1 lac to Rs 1 crore

24x7 monitoring of stocks

MarketsMojo’s analysis engine runs 24x7 and monitors the developments in the portfolio stocks and other stocks in the market

We start tracking the stocks across multiple factors relating to Mojo parameters, stock movement etc. as soon as you save the model portfolio

We will ask you to move out of a stock if its own parameters deteriorate after investment and not because a new top stock has entered

We will send an email whenever a change needs to be made in the portfolio. For replacement stock a subsequent email for replacement will be sent the next day.

This change will also be reflected on your saved model portfolio transactions page

The Two USPs of Markets Mojo are - Human Assisted Algorithms and Unbiased Investment Approach

Human Assisted Algorithms
Multiple Algorithms processing more than 500 data points on each company daily
Each listed company is graded on 4 Key Mojo Parameters of
Quality: Long Term Fundamental Strength
Valuation: Attractiveness of stock at current price
Financial Trend: Latest Quarterly Result Performance
Technicals: Price and Volume Trend
After the refining process of Mojo Algorithms, the Investment committee takes a call on each stock which is added or removed from the Model Portfolio List
Unbiased Investment Approach

Being an automated process we avoid the biggest Investment Trap- Human Biases
We follow a Disciplined & Process-driven approach which does not allow biases to creep in to the investing process
Clients should follow the process diligently to achieve the intended returns

For every user a unique portfolio will be generated within seconds basis his

  • Timing of Investment
  • Amount of Investment
  • Unique Daily portfolio does not mean there is churn every day
  • A stock will be churned only if its own parameters deteriorate

Model portfolio will be generated based on the top stocks as per Mojo Strategy at the time of investment.

A new model portfolio is generated each day and users who enter at different points in time can have a different portfolio.

Once a user saves a portfolio, he is then tracked basis the stocks that were suggested and any churn based on the parameters of these each stock.

A new portfolio does not mean that stocks in the previous portfolio have deteriorated, it simply means that at any given point of time we would help users invest in the highest rated stocks at that time.

No, we are not a broker or have transaction fulfilemt. You will need to execute the trades yourself.

No, MarketsMojo will not execute the trades.

At MarketsMojo, we help you create and maintain a model portfolio, you are free to transact with the broker of your choice.

We will send an email whenever a change needs to be made .

This change will also be reflected on your saved model portfolio transactions page.

For return calculations and further tracking we will assume that you have executed the suggested changes.

Based on your executed prices your actual returns may vary from the returns displayed in the model portfolio.

Since you need to execute the trades with your broker, we do not know if you have actually executed these trades.

Hence, we assume that you have taken portfolio actions as suggested and base our future suggestions on this assumption.

No, this is a new portfolio

If you want to make improvements to your existing portfolio, please check the Portfolio Optimizer.

We would suggest an investment horizon of 3 to 5 years in the strategy.

There would be multiple entry and exits throughout the life of the product, we would strongly suggest that you follow the strategy changes in a disciplined manner, else the expected and actual returns may be different.

No, we do not provide target price or holding period on individual stock.

We would suggest changes to the portfolio if there is a change in fundamental or technical variables of the underlying stock.

There would be multiple entry and exits throughout the life of the product, we would strongly suggest that you follow the strategy changes in a disciplined manner, else the expected and actual returns may be different.

Currently, you cannot add more money after investment.

Currently, you cannot do partial withdrawal from the portfolio.

There are no guaranteed returns from the strategy.

This product is linked to movements in Equity Markets which can be volatile.

Please read the disclaimers before investing.

Model Portfolios are a part of the Mojo Professional Services Pack.
Under Mojo Professional Services you currently get the following benefits
Stock Analysis: In-depth Quantitative analysis on all listed companies
Portfolio optimizer: Suggestions to manage your existing portfolio
Model Portfolio: Create and manage a new portfolio
Mojo Stocks: Top Rated stocks as per MarketsMojo’s methodology
Mojo Professional Screener: Identify the best stocks across the market

Click here to view the payment plans

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