At CherryPicker, investment management goes far beyond conventional portfolio allocation. We engineer high-conviction portfolios rooted in macro trends, sectoral rotation, and evolving consumer behavior. Our proprietary research framework blends top-down thematic analysis with bottom-up stock selection, ensuring that every investment aligns with structural growth stories.
Our Capabilities:
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Equity Portfolio Construction: We specialize in building concentrated, conviction-led portfolios focused on future-ready sectors—digital infrastructure, green energy, consumer tech, specialty manufacturing, and more.
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Debt Structuring & Yield Optimization: For conservative investors and treasury clients, we optimize yield through customized debt instruments including structured NCDs, bonds, and market-linked debentures.
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Faceguard Portfolios: Our flagship strategy designed to withstand market downturns and participate fully in uptrends. Aimed at capital preservation in crisis and alpha generation in recovery.
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Bespoke PMS & Advisory Solutions: Tailored strategies designed for UHNI clients with high exposure requirements, focused around goal-based investing, ESG preferences, and liquidity needs.
What Sets Us Apart: We don’t chase fads. We follow signals, data, and deep research to find undervalued opportunity zones before they become mainstream.