Wednesday, 3 February 2016

{LONGTERMINVESTORS} VISCA Performance update Jan'16

Dear Sir/Madam,

Warm Greetings!

I am pleased to share with you VISCA Portfolio monthly update for the month of Jan'16.

FROM MAY'15 TO JAN'16, VISCA PORTFOLIO GENERATED RETURN IS +1.3% AGAINST DECLINE OF -7.9% OF BSE SENSEX. SHARPE RATIO REPRESENTING VOLATILITY OF VISCA PORTFOLIO IS 0.42 AGAINST -3.67 IN THE MARKET DURING THE PERIOD.

VISCA Portfolio is the result of unbiased research process which generates the optimum portfolio for long term investor.

Companies in VISCA Portfolio is selected out of Universe of S&P BSE 500 list.

Comments on the above can be sent to rahul@viscaport.com. We also recommend large value potential stocks on specific request.

You are requested to mention your contact number and email address while submitting comments.

Thanking You,

Yours sincerely,

Dr Rahul Kumar

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