Karvy Capital Ltd

Karvy Capital Ltd

AUM (Cr.)

312.50

No. of Clients

1078

No. of Investment Approach

2

As On

29 February 2024

Karvy Capital Ltd is the Asset Management of Karvy Group, a 30 year-old diversified financial services conglomerate in India with presence in Stock Broking, Data Management, Institutional Equities, Wealth Management besides Asset Management. Karvy Capital Ltd is a thought leader in specialized investments and offers a wide range of investment ideas spread across various asset classes including Equity, Structured Products, Absolute Return Strategies, High Yield Debt. These products are designed for distribution by private banking teams and wealth management companies, which are managed independently of other businesses of Karvy Group. Karvy Capital Ltd has also received the license from SEBI to be the investment manager and sponsor for a category III AIF. Please visit the Hedge Fund page for further details.

PMS Investment Approach(s) Returns
Investment Approach Category 1 Yr 2 Yr 3 Yr 5 Yr Inception Date
Demeter
DEBT 6.81% 7.12% 8.30% 9.74% 01 Jul, 2014
Excel
DEBT 11.92% 11.37% 11.40% 10.97% 08 Nov, 2016

* Returns are as on  31st March 2024, * Returns over a 1 year period are annualized * Returns are calculated using the Time Weighted Rate of Return (TWRR) method and as provided by the respective AMCs. *ND (No Data) , * NA(Not Applicable) * Returns of the respective Benchmark Indices used are tabulated above. Benchmark(s) given are as per SEBI circular no. SEBI/HO/IMD/IMD-PoD-2/P/CIR/2022/172 dated December 16, 2022 and the APMI circular no. APMI/2022-23/02 dated 23rd March,2023 and Revised Annexure-1


Portfolio Manager Profile

Mr. Ajit Kumar Bhaskarn

Mr. Ajit Kumar Bhaskarn

Fund Manager

AMC Registered Address

702, Hallmark Business Plaza,Sant Dnyaneshwar Marg, Off. Bandra Kurla Complex,Mumbai,Bandra,Maharashtra,India-400051
SEBI Reg No : INP000004524

AMC Investor Login Link

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AMC Website Link

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AMC Social Media

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We have taken and continue to take utmost care and caution in compilation of current and historical data (such as performance of Portfolio Managers, investment approaches followed and/or AUM of Portfolio Managers etc.,). We also take due care in analysis (such as making comparisons etc.,) of the data. The information and data provided by PMS bazaar on its website (including any of its publications/e-mails/newsletters) have been obtained and culled out of whatever is available on public domain/provided by the Portfolio Managers either on their own or at the request of PMS Bazaar and we do not in any way guarantee the accuracy [(in general and as well as with respect to regulatory compliance(s)], reliability, completeness, current-ness and/or timeliness of any content, information, data, analysis, software, text, graphics, links or communications provided on or through the use of the Website and we assume no liability and cannot be held responsible for any errors or omissions in such information, data (including regulatory non-compliances, if any) and/or analysis of such information and data nor for the results obtained by any user of the website (including any publications/e-mails/newsletters of PMS Bazaar) from the use of such content, information, data, analysis, software, text, graphics, links or communications provided on the Website or for any monetary or other damage suffered by you on account of such usage.

All information present on the Website of PMS bazaar (including any publications/e-mails/newsletters of PMS Bazaar) is to help investors in their decision-making process and shall not be considered as a recommendation or solicitation of an investment or investment strategy/approach/funds. The names of the portfolios/ strategies/approach/funds do not, in any manner, indicate their prospects or returns. There is no assurance or guarantee that the objective of portfolios/ strategies/approach/funds will be achieved. Past performance is not necessarily a guide to future performance and no way guarantee the future performance. Investment in securities markets is subject to market risks, Investors are responsible for their investment decisions and are responsible to validate all the information used to make the investment decision.All the information provided herein including Performance is not verified by SEBI nor has SEBI certified the accuracy or adequacy of the same.