The fund will primarily follow a policy of investing in high growth oriented companies across the capitalisation spectrum. It will also look to try and identify businesses trading at attractive valuations where there is a growth trigger or value unlocking event possibility. The endeavour would be to invest in companies with high earnings growth visibility, sustainable business models addressing large market opportunities. It would comprise portfolio’s having anywhere between 20-30 names across the capitalization spectrum. Ideally a large part of the investment universe would comprise of the companies from the CNX 500 index. However there could be a reasonable portion of companies from outside the stated universe and would look to having a 3-5 year holding period and low churn.