

Celebrating its 10th anniversary on December 31, 2023, the Fermi325 Portfolio has delivered an impressive 26.23% CAGR over the past decade, significantly outperforming the NIFTY 50 TRS. This performance is divided into three distinct phases, each reflecting unique learnings and market conditions. In this article, we look back at these 10 years and highlight the key principles and lessons learned.
Phase I (2014-2016): High Volatility and High Returns
Phase II (2017-2019): Subdued Returns
Phase III (2020-2023): Recovery and Consistency
The ancient parable of the blind men and the elephant reminds us of the importance of a holistic view. Each investment is a part of the larger picture, demanding nuanced understanding from different perspectives.
As we look forward to the next decade, the Fermi325 strategy will focus on:
By embracing uncertainty, diversifying risks, and continually learning, we aim to stay ahead in a dynamic and ever-changing market.
For inquiries: Chaitanya Kekre
Managing Partner, Fermi325 Investment Advisor
📧 chaitanya.kekre@fermi325.com
📞 +91 8806587498