Apex Frozen Foods Ltd.

Apex Frozen Foods Ltd.

Apex Frozen Foods Ltd.

Overview
Headquarters

3-160, Panasapadu,Kakinada, Andhra Pradesh 533005

Type of Company

Public

Industries

Food

Company Description

Apex Frozen Foods Ltd. engages in the distribution and production of shelf stable aquaculture products. Its business segment is primarily engages in the business of export of shrimp; and geographical segment exports its products to the United States of America. The company was founded on October 24, 1995 and is headquartered in Kakinada, India.

Executives & Employees

Chairman & Managing Director

Chief Financial Officer

Secretary & Compliance Officer

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Board of Directors

Chairman & Managing Director at Apex Frozen Foods Ltd.

Whole Time Director at Apex Frozen Foods Ltd.

Director at Karutturi Global Exports Pvt. Ltd.

Independent Non-Executive Director at Apex Frozen Foods Ltd.

Independent Non-Executive Director at Apex Frozen Foods Ltd.

Independent Non-Executive Director at Apex Frozen Foods Ltd.

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Owners & Shareholders
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HSBC AM-India is an active, long-term manager which seeks to invest in companies they believe have sustainable business growth and which are trading at a substantial discount to their intrinsic value.^The firm constructs portfolios primarily following a buy-and-hold strategy. They may hedge portfolios to protect potential downside utilizing F&O and effective use of cash. Their investment decisions are process-driven and involve fund managers and sector specialists. ^For fixed-income portfolios, HSBC AM-India adapts the HSBC Global Investment Process for Asset Management, monitoring duration, credit, curve positioning and security selection. They employ a combination top-down, bottom-up approach applying the top-down perspective to duration and credit and the bottom-up perspective to curve positioning and security selection. ^The firm constructs portfolios based on liquidity, spread and relative valuation of credit, maintaining a strong bias on liquidity to enable the fund manager to churn the portfolio and execute a change in view if desired.

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Invesco India is an active manager which employs focused management teams to create optimum balance and results in their equity and fixed-income portfolios. Their equity investment philosophy aims to generate capital appreciation. Their core investment premise is that the equity markets are not completely efficient and that a well-organized and thorough research effort combined with a disciplined portfolio management approach will enable out performance of the market index over time.Their fixed-income portfolio management seeks to optimize risk adjusted returns by investing in high quality credit assets, managing interest rate risk and minimizing liquidity risk. They employ a top-down research oriented model with focus on economic data analysis, seeking to generate optimized risk adjusted returns by providing for safety of capital, liquidity of funds and investment income. Interest rate risk is managed across duration buckets, portfolio composition is managed through active asset allocation across credits and they manage liquidity risk through a well-diversified portfolio. The firm’s investment team follows a disciplined research oriented investment process to meet fund-specific investment objectives on a long-term investment horizon. The fund manager aims to outperform the benchmark by selecting superior credits based on in-house analytical credit research and interest rate direction calls. The investment committee establishes internal norms such as industry and asset allocation for each fund, which they monitor and review on an ongoing basis.

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Invesco India is an active manager which employs focused management teams to create optimum balance and results in their equity and fixed-income portfolios. Their equity investment philosophy aims to generate capital appreciation. Their core investment premise is that the equity markets are not completely efficient and that a well-organized and thorough research effort combined with a disciplined portfolio management approach will enable out performance of the market index over time.Their fixed-income portfolio management seeks to optimize risk adjusted returns by investing in high quality credit assets, managing interest rate risk and minimizing liquidity risk. They employ a top-down research oriented model with focus on economic data analysis, seeking to generate optimized risk adjusted returns by providing for safety of capital, liquidity of funds and investment income. Interest rate risk is managed across duration buckets, portfolio composition is managed through active asset allocation across credits and they manage liquidity risk through a well-diversified portfolio. The firm’s investment team follows a disciplined research oriented investment process to meet fund-specific investment objectives on a long-term investment horizon. The fund manager aims to outperform the benchmark by selecting superior credits based on in-house analytical credit research and interest rate direction calls. The investment committee establishes internal norms such as industry and asset allocation for each fund, which they monitor and review on an ongoing basis.

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Recent Transactions
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Apex Frozen Foods Ltd. issued Equity Shares

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