Β· INH000XXXXXX +91 1800-000-000
← Baskets
Low Debt Quality Basket by Relitrade
RELITRADE RA
6 Month Fee
β‚Ή8,999
β‚Ή10,794
17% OFF
Risk
Moderate
Basket Return
+22.60%
Monthly Plan
β‚Ή1,799/mo
+15.04% outperformance vs Nifty 50Low Debt Quality Basket returned +22.60% vs Nifty 50 +7.56% since inception in Feb 2025
Basket Analytics
Nifty 50 vs Low Debt Quality Basket β€” Cumulative Returns (%)
Low Debt Quality Basket
Nifty 50
-9%-0%+8%+17%+26%Feb-25Apr-25Jun-25Aug-25Oct-25Dec-25Feb-26
Feb 2025 – Feb 2026 Β· Past performance is not indicative of future results
Performance Parameters
ParameterValue
Total Calls30
Win Calls21
Loss Calls9
Strike Rate70.00%
Zero Debt Companies18 calls
Strike Rate (Zero Debt)72.22%
ROI per β‚Ή10L (Zero Debt)+12.60%
Quality Compounders12 calls
Strike Rate (Compounders)66.67%
ROI per β‚Ή10L (Compounders)+10.00%
Average ROI per Call1.42%
Cumulative ROI+22.60%
Nifty 50 Return (same period)+7.56%
Outperformance vs Nifty 50+15.04%
Positive Periods10 / 13 months
Segment Strike Rate Comparison
Zero Debt Cos.
18 calls
72%
Quality Compounders
12 calls
67%
Month-by-Month Cumulative Returns
Low Debt Quality Basket
Nifty 50
-9%-0%+8%+17%+26%Feb-25Apr-25Jun-25Aug-25Oct-25Dec-25Feb-26
PeriodOur BasketNifty 50Outperformance
Feb-25+0.15%+0.14%+0.01%
Mar-25+3.80%βˆ’5.89%+9.69%
Apr-25+5.20%+3.87%+1.33%
May-25+8.40%+5.58%+2.82%
Jun-25+9.80%+8.68%+1.12%
Jul-25+9.10%+5.75%+3.35%
Aug-25+9.60%+4.37%+5.23%
Sep-25+12.40%+5.12%+7.28%
Oct-25+16.80%+9.63%+7.17%
Nov-25+20.10%+11.50%+8.60%
Dec-25+21.30%+11.22%+10.08%
Jan-26+21.80%+8.12%+13.68%
Feb-26+22.60%+7.56%+15.04%
Frequency
Monthly
Last Rebalance
1 Apr 2026
Next Rebalance
1 May 2026
Benchmark
Nifty 50
Zero Debt Companies
HALBELIRCTCCDSLHDFCAMC
Quality Compounders
PIDILITINDASIANPAINTNESTLEIND
Active Calls Snapshot
StockTypeEntryTargetSLStatus
HALZDβ‚Ή3,820β‚Ή4,400β‚Ή3,510Target Hit
BELZDβ‚Ή278β‚Ή330β‚Ή256Target Hit
IRCTCZDβ‚Ή790β‚Ή950β‚Ή720OPEN
PIDILITINDQCβ‚Ή2,910β‚Ή3,300β‚Ή2,700OPEN
* Sample picks are just a glimpse. The real edge lies in a fully mapped strategyβ€”CMP, precise Entry, SL & Targets. Unlock the complete profit blueprint by subscribing to this product basket
R
LOW DEBT QUALITY BASKET
Quality balance sheets. Resilient compounding.
The Low Debt Quality Basket screens for companies with minimal leverage and high return on capital β€” a defensive core built to perform across market cycles while protecting against downside risk.
How we pick every call
πŸ›οΈ
Near-Zero Debt
We screen for companies with Debt/Equity below 0.2x or zero debt β€” businesses that fund growth through profits, not borrowing.
πŸ“Š
High Return Ratios
ROCE above 20% and ROE above 15% are our baselines β€” signs of a business with genuine competitive advantages.
βš–οΈ
Consistent Earnings
5+ years of positive, growing earnings with no major write-offs β€” proof that the business model is reliable.
Why this basket?
πŸ›‘οΈ
Survives every market cycle
Low-debt companies with strong cash flows have historically outperformed in downturns and matched markets in bull runs.
πŸ“Š
Screened for quality β€” not just price
We use fundamental screens (ROCE, ROE, D/E, earnings consistency) before any technical analysis is applied.
πŸ”„
Monthly rebalancing for freshness
Quality evolves. We review balance sheet ratios monthly and replace companies that no longer meet our criteria.
πŸ“‹
Research note with every pick
Each call comes with a brief note on the company debt profile, return ratios, and why we are entering now.
πŸ“ˆ
+15.04% ahead of Nifty 50
Since Feb 2025, our basket returned +22.60% vs Nifty 50 +7.56% β€” with a lower max drawdown than the index.
⚑
Real-time entry & exit alerts
WhatsApp and app alerts for every call β€” so you can execute quickly when the window opens.
Who is this basket for?
The Low Debt Quality Basket is built for conservative long-term investors who want equity returns without the risk of overleveraged companies blowing up in their portfolio.
βœ“You want quality companies β€” not speculative bets
βœ“You prefer lower drawdown and smoother compounding
βœ“You can hold positions for 3–12 months
βœ“Your goal is steady, above-market wealth creation
Basket Details
How this basket works
Quality companies with near-zero debt and high return ratios β€” a resilient, compound-friendly portfolio at just β‚Ή1,799/month.
πŸ›οΈ
Near-Zero Debt β€” We screen for companies with Debt/Equity below 0.2x or zero debt β€” businesses that fund growth through profits, not borrowing.
πŸ“Š
High Return Ratios β€” ROCE above 20% and ROE above 15% are our baselines β€” signs of a business with genuine competitive advantages.
βš–οΈ
Consistent Earnings β€” 5+ years of positive, growing earnings with no major write-offs β€” proof that the business model is reliable.
Goal: quality balance sheets. resilient compounding.