MyInnos Funds
Personal Investment Portfolio Suite
account_balance Portfolio Fund Overviews

MyInnos Funds

Two personal investment portfolios — one anchored in India's growth story, one in US technology compounders. Built for the long term, tracked like a fund.

Total Funds
2
India NAV
₹14.73
Global NAV
$14.76
Combined Return
+47.3%
insights Combined Overview
savings
India Fund NAV
₹14.73
Base ₹10 · Inception Apr 2023
language
Global Fund NAV
$14.76
Base $10 · Inception Oct 2021
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Total Holdings
42 India · 17 Global
Profitable Positions
100%
All 59 positions in green
folder_open Compounders Funds
flag India · Multi-Asset
India Compounders Fund
A high-conviction India multi-asset portfolio spanning equities, gold, silver, REITs, and fixed income instruments — built to compound wealth across India's growth cycle.
₹14.73
Base ₹10.00 · Inception Apr 2023
trending_up +47.3%
Holdings
Profitable
100%
Risk
Moderate
diamond 41.4% in Gold & Silver — real asset hedge
analytics 12 sectors covered across India economy
public 98.2% India domestic exposure
update Last updated: 20 May 2026
open_in_new View India Fund Overview
language US Equity · ETF Portfolio
Global Compounders Fund
A high-conviction US equity and ETF portfolio anchored in technology growth, index compounders, and direct stock positions — built to capture long-term wealth creation across American markets.
$14.76
Base $10.00 · Inception Oct 2021
trending_up +47.6%
Holdings
Profitable
100%
Risk
High
memory 56.5% Technology exposure — intentional
bolt 79% ETF-first allocation — index anchored
trending_up Best performer: +795% — AI semiconductor leader
update Last updated: 4 May 2026
open_in_new View Global Fund Overview

Investing Philosophy

Both funds share a common DNA — long-term compounding with no market timing, no speculation, no intraday trading. Capital is deployed in lump sums on significant dips, held for 5–10+ year horizons, and never sold in panic. The goal is to own the best businesses in India and the world — and let time do the heavy lifting.

Long Horizon Only
Every position is bought to be held for years. Occasional short-term trades may happen, but the core portfolio is never touched. Volatility is a feature, not a bug.
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Buy on Dips
Limit orders are pre-set at target price levels. Crashes are deployment opportunities, not exit signals.
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Two-Geography Diversification
India for domestic growth and precious metals. US for technology compounders. No single-country concentration risk.