
Mahesh Gowande has over 2 decades of experience in Time Cycle influence, Responsive Behavior Analysis of events & capital markets Built proprietary Data Analytics softwares.
To provide investors an opportunity to invest in a model portfolio of multiple asset classes, which will be managed dynamically with portfolio rebalancing undertaken as and when required based on market conditions.
A dynamically managed multi-asset strategy that allocates across equity, debt, and commodities using quantitative modeling of ETFs and mutual funds.






