Hem Securities Limited is a 35-year-old diversified financial service provider originating from Rajasthan. Drawing inspiration from faith and confidence that the clients have in their commitment and performance, this inspiration is what drives HEM to excel consistently. In the last 35 years, HSL has created a holistic business environment – laden with insights and expertise to yield optimum results for their clients. They possess expertise in various services like Investment Banking, IPO, Brokerage, Mutual Fund Planner, PMS – Portfolio Management Services to name a few. With the team of best researchers, HEM PMS has been delivering excellent analysis and error free judgement for their investment decisions and creating long term wealth for their esteemed clients.
Mr. Mohit Nigam has professional experience and thorough knowledge across markets in Equities, Forex and Bonds. Before heading PMS in Hem Securities Ltd, he has worked with Axis Bank (Treasury) for managing SLR portfolio of the bank. He has also contributed in hedging strategies of the bank. Earlier to Axis Bank, he was a part of Forex Trading India Group (Treasury) wherein he provided mid and large corporate advisory services. Speaking of academics, he is a Chartered Accountant (AIR-42) and a Company Secretary (AIR-23). He also holds a management degree from Indian Institute of Foreign Trade, Delhi.
Merit Holder in MBA Finance, presently working as a Senior Research Analyst at Hem Securities Ltd & a part of HEM PMS team. She has been with company’s research team since 2005. With 15 years of wide experience in equity research, she keeps a strong eye on company’s fundamentals & has identified various multibaggers since 2005. She is also a part of Hem Securities Investment Banking Division where has been assessing valuation for companies in which company participated as a lead manager/merchant banker. Apart from this, she is also a part of company's primary market research team in which she has covered more than 500 IPOs and prepared their research reports since 2005
DREAM is a multi cap strategy consisting of ~25 high conviction stocks across various sectors, with maximum allocation to a single sector being not more than 25%. Companies with strong fundamentals which appears attractive for a long term horizon are shortlisted for further analysis before it becomes a part of our portfolio.To Know the Strategy Performance Click Here ...