SEBI RA model portfolios
Vriksha strategy subscriptions
Browse public strategy research, explicitly request to view backtested performance, and subscribe for access to the latest model portfolio and recent rebalances.
Featured strategy
Conservative Dual Momentum
Performance details locked
Historical and backtested returns are shown only after an explicit risk acknowledgement on the strategy page.
View strategySEBI-registered Research Analyst · Reg. no. INH000027788
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From research to rebalance
01
Browse public research
Explore strategy pages with backtest metrics, methodology, and benchmark comparisons — no account needed.
02
Acknowledge the risk notice
Request to view historical and backtested performance after reading the standard risk disclosures.
03
Subscribe for access
Choose a strategy and subscribe to unlock its latest model portfolio.
04
Follow rebalances
Track published rebalance updates and research notes as the model portfolio evolves.
Strategy catalogue
Research-led model portfolios
Conservative Dual Momentum
A lower-drawdown Nifty 500 momentum model portfolio with broader diversification and tighter risk controls.
Dual Momentum
A Nifty 500 rules-based momentum model portfolio with built-in diversification and risk controls.
Low Drawdown Dual Momentum
A Nifty 500 dual-momentum model portfolio selected for the lowest historical drawdown among parameter sets with 10-year CAGR above 20%.
Public research pages
Backtest metrics, methodology, benchmark comparison, risk notes, and disclosures.
Subscriber paywall
Latest model portfolio and last five rebalances are gated by active strategy access.
Strategy package import
Approved strategy outputs are validated, parsed, and published without recalculating the strategy.