Investing With Peace
of Mind

About Us

Finazenn is a boutique investment advisory firm dedicated to empowering clients to achieve financial success. We recognized that customers need quality advice and investment solutions to achieve their financial objectives. With this in mind, we took the initiative to create right products to fill this gap.

With a customer-centric approach and a commitment to excellence, we create investment and trading solutions designed for long-term success. Our extensive industry experience has taught us that every client is unique in their own right. We strive to provide personalized solutions that meet each client's expectations with complete peace of mind.

Product Offerings

FIP (Finazenn Investment Portfolios)
Finazenn Investment Portfolios (FIP) are curated equity portfolios designed for long term investment. These portfolios offer a diverse range of unique products, spanning across market capitalizations as well as specialized thematic products.
FI (Finazenn Ideas)
Finazenn Ideas category offer an opportunity to participate in range of trading and investment products tailored to individual requirements, including momentum trading, curated stock baskets, and expert investment ideas.

Our Philosophy

Our core investment philosophy revolves around identifying emerging themes to stay ahead in the market. Emerging themes offer substantial growth opportunities if identified early. To identify such opportunities, we deploy a robust process which filters, captures, and selects ideas within the themes.

After identifying the stocks, we construct a risk-adjusted portfolio. Our approach ensures a judicious mix of stocks from emerging trends along with those that have a proven track record, robust business model, and have a good earnings growth visibility. We leverage the expertise of our experienced team, which analyses the market using a bottom-up approach and evaluates both quantitative and technical parameters.

We optimize our model portfolio and advise strategic rebalancing for sustained growth and resilience across market cycles. Periodic strategic rebalancing aims to align our portfolio and advice with changes in the domestic and global environment. One of our key principles of rebalancing involves weeding out the losers and riding the winners with the defined risk tolerance and return objectives. Monitoring and reviewing stocks actively are an integral part of our investment philosophy.

Latest Blogs

Copyright © 2024 All Rights Reserved.

Complaint data
Sr. No.Received fromPending at the end of last monthReceivedResolved*Total Pending#Pending complaints > 3 monthsAverage Resolution time^ (in days)

^ Average Resolution time is the sum total of time taken to resolve each complaint in days, in the current month divided by total number of complaints resolved in the current month.

For Complaint data of IA – INA000019044, CLICK HERE