
About Guest:Govind Parikh is a seasoned investor and the Managing Director of Govind Parikh Securities Pvt Ltd. An engineer by qualification, he began his investment journey around 1979–1980. Parikh is known for his value investing approach and his strategy of keeping cash on hand to take advantage of market corrections.In this podcast, Govind Parikh shares how he built a ₹1,000+ crore portfolio from zero by prioritising patience, discipline, frugality, and margin of safety. He buys in bear markets, trims in bulls, avoids value traps, and studies leaders, cycles, and management quality. He’s bullish on India’s decade, citing capital flows and sectors like cement, hospitality, and auto components, with defense spillovers from Europe. He stresses cash reserves, continuous learning, mentor lessons, and conquering greed.Timestamps(00:00) – Introduction(05:00) – Margin of safety basics(10:00) – How to research stocks(15:00) – Cement & infra theme(20:00) – Global defense opportunity(25:00) – Becoming a serious investor(30:00) – Saving more, spending less(35:00) – Asian Paints & Bajaj Auto story(40:00) – Learning from mentors(45:00) – Meeting managements & AGMs(50:00) – Reading promoters(55:00) – Why competitors matter(59:00) – South vs North promoters(01:03:00) – Cyclicals vs compounders(01:07:00) – Cash, liquid funds & crashes(01:11:00) – Generational investing styles(01:16:00) – Final mindset & takeaways