Our funds are benchmarked against leading indices across India, Australia, and the U.S. to measure performance and risk-adjusted returns. Regular reports provide investors with:
• Portfolio performance comparisons against major indices like NIFTY 50, BSE 500, ASX 200, and S&P 500.
• Historical return analysis, tracking fund performance over multiple market cycles.
• Risk management insights, ensuring capital preservation and sustainable wealth creation.
By combining institutional-grade research with rigorous investment discipline, Crossbridge Asset Management provides Australian investors with a structured, data-driven, and high-performance investment approach to the Indian equity markets.