Equity & Debt

Growing Together, Building Excellence.

Risk-Managed Growth, Backed by Research

"At Marutinandan Capital, we leverage rigorous research, market intelligence, and disciplined strategies to create sustainable, long-term value through equity and debt investments."

Equity

Our equity approach is built on deep research and market analysis:

Fundamental Research

Evaluating Indian companies’ business models, strengths, and growth potential.

Valuation Models

Identifying high-potential investments using DCF, multiples, and sector insights.

Sector & Market Insights

Tracking industry trends and market dynamics to spot growth opportunities.

Portfolio Strategy

Building a diversified portfolio that balances stability with long-term growth.

By integrating deep equity research, market intelligence, and disciplined debt strategies, Marutinandan Capital maintains a diversified, resilient investment portfolio, delivering consistent long-term wealth creation.

Risk-Managed Debt Investments

Our debt strategy emphasizes capital preservation and steady returns by applying disciplined assessment across key asset classes.

Corporate Bonds & NCDs

Investing in financially strong corporations for stable returns.

Government Securities & Treasuries

Sovereign instruments to ensure stability and liquidity.

Structured Debt Products

Customized products aligned with risk-return objectives.

Fixed Income Strategies

Applying disciplined credit assessment to generate consistent yields.


©2025 Marutinandan Capital Pvt. Ltd.