Good evening :)

Nirmala vashishtha

@805744
💼 Market Experience: 11 yrs

Created Stock Screens (2)

ETF Screener

6M Return1Y Return+6 more

ETF Screener: Analyse & Filter Indian ETFs on Tickertape

Pro

This often finds high-quality compounders.

Operating Cash FlowFinancing Cash Flow+8 more

Positive CFO → business generates real cash Negative CFI → company is investing for growth Negative CFF → company reducing debt or returning cash to shareholders This often finds high-quality compounders.

Created Mutual Fund Screens (1)

Pro

Mutual Fund Screener (Dec2025)

CAGR 5YSharpe Ratio+14 more

3-Year Return 3Y CAGR should be minimum 12–14%. 5-Year Return 5Y CAGR should be consistent with category average or better. Sharpe Ratio Sharpe Ratio should be ≥ 1 for equity funds. Volatility (Beta) Beta should be ≤ 1.1 to avoid excessive volatility. Expense Ratio Choose Direct Plan. Expense ratio should be ≤ 1%. Fund Manager Stability Fund manager tenure should be 5+ years. AUM Size AUM should be healthy (₹2,000–20,000 Cr). Avoid very small funds. Portfolio Concentration Top 10 holdings should not exceed 60% of portfolio. Downside Protection Fund should fall less than category during market crashes. Consistency Fund should beat benchmark in at least 6–7 of last 10 years. Exit Load Exit load should be ≤ 1% for exit within 1 year. Final Selection Select maximum 2–3 funds only. Avoid over-diversification.

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