Yogesh's blue chip 10 Portfolio

My expectation is of moderate returns of 15% CAGR thus beating index by 3% or so. Assuming index returns are at 12%. Capital protection is the top most priority as my 70% networth is into PF excluding the real estate. Broad understanding about choosing prominent sectors is to have good exposure to all the important sectors of the economy thus betting on overall India Growth story for atleast next 2 decades. Not focussing only on those sectors where i have better understanding. I have started my thread

@ChaitanyaC