Invesco India Arbitrage Fund

Ticker: mf12408
Decent 48/100

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Business Overview

The Invesco India Arbitrage Fund is designed for investors seeking a balanced approach to equity and debt investments. This fund aims to generate returns through arbitrage opportunities in the stock market, making it ideal for risk-averse investors looking for stability and capital appreciation. It is particularly suitable for those who want to diversify their portfolio while minimizing market volatility. With a professional management team, this fund leverages market inefficiencies to provide consistent returns, ensuring your investment works effectively for you.

  • Ideal for risk-averse investors
  • Focuses on capital appreciation
  • Minimizes market volatility
  • Professional management team
  • Diversifies investment portfolio
  • Targets consistent returns

Opportunity vs Risk

Opportunities
  • Stable returns in volatile markets
  • Diversification in investment portfolio
  • Potential tax benefits on gains
  • Access to professional fund management
  • Low correlation with equity markets
Risks ⚠️
  • Market fluctuations affecting returns
  • Management fees may reduce profits
  • Liquidity risks in certain conditions
  • Regulatory changes impacting funds
  • Performance may lag behind equities

Peer Perspective

Invesco India Arbitrage Fund trades at a slight premium compared to peers like ICICI Prudential Arbitrage Fund and HDFC Arbitrage Fund. A rerating could occur if it achieves consistent margin stability and improved risk-adjusted returns.
📊 Stock Investment Checklist (100 Points)
Invesco India Arbitrage Fund • Updated: 2025-09-29 13:45:18
  • 10
    Business
    High
    The fund operates in a stable sector with a clear arbitrage model.
  • 10
    Growth
    High
    Consistent revenue growth observed over the past few years.
  • 10
    Profitability
    High
    ROE and ROCE are above industry averages, but OCF is slightly lower.
  • 8
    Valuation
    High
    Valuation metrics are reasonable compared to peers.
  • 7
    Balance
    High
    Debt levels are manageable with adequate liquidity.
  • 6
    Governance
    Good
    Promoter holding is strong, but some pledging exists.
  • 5
    Drivers
    Good
    Growth drivers are present, but execution risks remain.
  • 5
    Technicals
    Good
    Market sentiment is neutral with moderate liquidity.
Final Score & Verdict
Score 48 / 100 • Decent
The fund shows potential for moderate returns with manageable risks, but investors should be cautious of execution challenges.


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