NIFTY 5022,500125.30(0.56%)
SENSEX74,200412.50(0.56%)
BANK NIFTY48,300210.40(0.43%)
TATA MOTORS780.0012.45(1.62%)
INFOSYS1,520.0018.20(1.18%)
WIPRO475.005.60(1.19%)
RELIANCE2,890.0034.50(1.21%)
TCS3,650.0028.10(0.76%)
HDFC BANK1,580.0015.20(0.97%)
ICICI BANK1,120.008.90(0.80%)
SBI820.005.30(0.64%)
BHARTI AIRTEL1,650.0022.80(1.40%)
HUL2,380.0012.40(0.52%)
ITC445.003.20(0.72%)
KOTAK BANK1,780.0014.60(0.83%)
LT3,420.0045.20(1.30%)
AXIS BANK1,080.009.50(0.89%)
BAJAJ FINANCE7,200.0085.40(1.20%)
MARUTI12,400150.00(1.19%)
ASIAN PAINTS2,850.0018.90(0.67%)
HCLTECH1,420.0016.30(1.14%)
TITAN3,250.0042.60(1.33%)
ADANI PORTS1,380.0022.40(1.60%)
POWER GRID310.004.80(1.57%)
NTPC365.006.20(1.73%)
SUNPHARMA1,680.008.50(0.50%)
NIFTY 5022,500125.30(0.56%)
SENSEX74,200412.50(0.56%)
BANK NIFTY48,300210.40(0.43%)
TATA MOTORS780.0012.45(1.62%)
INFOSYS1,520.0018.20(1.18%)
WIPRO475.005.60(1.19%)
RELIANCE2,890.0034.50(1.21%)
TCS3,650.0028.10(0.76%)
HDFC BANK1,580.0015.20(0.97%)
ICICI BANK1,120.008.90(0.80%)
SBI820.005.30(0.64%)
BHARTI AIRTEL1,650.0022.80(1.40%)
HUL2,380.0012.40(0.52%)
ITC445.003.20(0.72%)
KOTAK BANK1,780.0014.60(0.83%)
LT3,420.0045.20(1.30%)
AXIS BANK1,080.009.50(0.89%)
BAJAJ FINANCE7,200.0085.40(1.20%)
MARUTI12,400150.00(1.19%)
ASIAN PAINTS2,850.0018.90(0.67%)
HCLTECH1,420.0016.30(1.14%)
TITAN3,250.0042.60(1.33%)
ADANI PORTS1,380.0022.40(1.60%)
POWER GRID310.004.80(1.57%)
NTPC365.006.20(1.73%)
SUNPHARMA1,680.008.50(0.50%)
NIFTY 5022,500125.30(0.56%)
SENSEX74,200412.50(0.56%)
BANK NIFTY48,300210.40(0.43%)
TATA MOTORS780.0012.45(1.62%)
INFOSYS1,520.0018.20(1.18%)
WIPRO475.005.60(1.19%)
RELIANCE2,890.0034.50(1.21%)
TCS3,650.0028.10(0.76%)
HDFC BANK1,580.0015.20(0.97%)
ICICI BANK1,120.008.90(0.80%)
SBI820.005.30(0.64%)
BHARTI AIRTEL1,650.0022.80(1.40%)
HUL2,380.0012.40(0.52%)
ITC445.003.20(0.72%)
KOTAK BANK1,780.0014.60(0.83%)
LT3,420.0045.20(1.30%)
AXIS BANK1,080.009.50(0.89%)
BAJAJ FINANCE7,200.0085.40(1.20%)
MARUTI12,400150.00(1.19%)
ASIAN PAINTS2,850.0018.90(0.67%)
HCLTECH1,420.0016.30(1.14%)
TITAN3,250.0042.60(1.33%)
ADANI PORTS1,380.0022.40(1.60%)
POWER GRID310.004.80(1.57%)
NTPC365.006.20(1.73%)
SUNPHARMA1,680.008.50(0.50%)
NIFTY 5022,500125.30(0.56%)
SENSEX74,200412.50(0.56%)
BANK NIFTY48,300210.40(0.43%)
TATA MOTORS780.0012.45(1.62%)
INFOSYS1,520.0018.20(1.18%)
WIPRO475.005.60(1.19%)
RELIANCE2,890.0034.50(1.21%)
TCS3,650.0028.10(0.76%)
HDFC BANK1,580.0015.20(0.97%)
ICICI BANK1,120.008.90(0.80%)
SBI820.005.30(0.64%)
BHARTI AIRTEL1,650.0022.80(1.40%)
HUL2,380.0012.40(0.52%)
ITC445.003.20(0.72%)
KOTAK BANK1,780.0014.60(0.83%)
LT3,420.0045.20(1.30%)
AXIS BANK1,080.009.50(0.89%)
BAJAJ FINANCE7,200.0085.40(1.20%)
MARUTI12,400150.00(1.19%)
ASIAN PAINTS2,850.0018.90(0.67%)
HCLTECH1,420.0016.30(1.14%)
TITAN3,250.0042.60(1.33%)
ADANI PORTS1,380.0022.40(1.60%)
POWER GRID310.004.80(1.57%)
NTPC365.006.20(1.73%)
SUNPHARMA1,680.008.50(0.50%)

Portfolio Management Services

Professional portfolio management by SEBI-registered managers. PMS offers personalized investment strategies for high-net-worth investors with direct stock ownership.

Min: ₹50 Lakhs
Risk: High
SEBI Regulated
Lock-in: None (but exit load may apply)

All Portfolio Management Services

400 funds found · Select 2-3 funds to compare

Marcellus Consistent Compounders

Large Cap

Marcellus Investment Managers

Focuses on companies with decade-long track records of clean accounting, high ROCEs and consistent revenue growth.

1Y
18.2%
3Y
17.5%
5Y
21.3%
AUM: ₹17,500 CrMin: ₹50L
as on Jan 2026High

Marcellus Kings of Capital

Focused

Marcellus Investment Managers

Invests in dominant lenders and capital market franchises with superior capital allocation and clean governance.

1Y
22.4%
3Y
19.8%
5Y
23.1%
AUM: ₹5,200 CrMin: ₹50L
as on Jan 2026High

Marcellus Little Champs

Small & Mid Cap

Marcellus Investment Managers

Identifies small-cap companies with clean accounting, high growth and strong competitive advantages.

1Y
25.6%
3Y
22.3%
5Y
26.8%
AUM: ₹4,800 CrMin: ₹50L
as on Jan 2026High

Marcellus Rising Giants

Multi Cap

Marcellus Investment Managers

Targets mid-cap companies transitioning to large-caps with strong moats and clean governance.

1Y
20.1%
3Y
18.7%
5Y
22.5%
AUM: ₹2,100 CrMin: ₹50L
as on Jan 2026High

Motilal Oswal NTDOP

Multi Cap

Motilal Oswal AMC

Next Trillion Dollar Opportunity — invests in companies benefiting from India becoming a trillion-dollar economy.

1Y
16.5%
3Y
15.2%
5Y
18.9%
AUM: ₹12,800 CrMin: ₹50L
as on Jan 2026High

Motilal Oswal India Opportunity Portfolio

Flexi Cap

Motilal Oswal AMC

Flexi-cap strategy investing across market capitalizations based on bottom-up stock selection.

1Y
14.8%
3Y
13.9%
5Y
17.2%
AUM: ₹3,500 CrMin: ₹50L
as on Jan 2026High

Motilal Oswal Value Strategy

Value

Motilal Oswal AMC

Deep value strategy focused on undervalued companies with strong fundamentals and margin of safety.

1Y
12.3%
3Y
14.1%
5Y
16.5%
AUM: ₹2,800 CrMin: ₹50L
as on Jan 2026High

ASK India Select Portfolio

Large Cap

ASK Investment Managers

Concentrated large-cap portfolio of quality businesses with strong competitive advantages and high ROE.

1Y
15.7%
3Y
16.8%
5Y
19.4%
AUM: ₹8,200 CrMin: ₹50L
as on Jan 2026High

ASK Growth Portfolio

Multi Cap

ASK Investment Managers

Multi-cap portfolio investing in high-growth businesses across sectors with sustainable earnings growth.

1Y
19.3%
3Y
18.1%
5Y
21.7%
AUM: ₹4,500 CrMin: ₹50L
as on Jan 2026High

Alchemy High Growth

Multi Cap

Alchemy Capital Management

Multi-cap strategy focused on high-growth businesses with strong earnings visibility and scalable models.

1Y
21.8%
3Y
19.5%
5Y
23.4%
AUM: ₹3,200 CrMin: ₹50L
as on Jan 2026High

Alchemy Capital Multiplier Programme

Focused

Alchemy Capital Management

Concentrated best-ideas portfolio targeting capital appreciation through high-conviction bets.

1Y
23.5%
3Y
20.7%
5Y
24.9%
AUM: ₹1,800 CrMin: ₹50L
as on Jan 2026High

White Oak India Equity Portfolio

Multi Cap

White Oak Capital Management

Bottom-up multi-cap approach driven by proprietary research framework focusing on quality at reasonable price.

1Y
17.9%
3Y
16.4%
5Y
20.1%
AUM: ₹6,500 CrMin: ₹50L
as on Jan 2026High

Unifi Blended Rangoli

Flexi Cap

Unifi Capital

Flexi-cap strategy blending growth and value with a focus on under-researched companies.

1Y
19.6%
3Y
17.2%
5Y
21.5%
AUM: ₹3,800 CrMin: ₹50L
as on Jan 2026High

Carnelian Shift Strategy

Thematic

Carnelian Asset Advisors

Thematic strategy investing in structural shifts in the Indian economy — manufacturing, infra, and energy transition.

1Y
28.3%
3Y
24.1%
5Y
27.6%
AUM: ₹2,400 CrMin: ₹50L
as on Jan 2026High

Invesco India Equity Portfolio

Large Cap

Invesco Asset Management

Large-cap oriented equity PMS using global research capabilities and disciplined fundamental analysis.

1Y
13.8%
3Y
14.5%
5Y
17.1%
AUM: ₹4,100 CrMin: ₹50L
as on Jan 2026High

IIFL One Strategy

Multi Cap

IIFL AMC

Multi-cap strategy with concentrated portfolio of high-conviction ideas across market capitalization.

1Y
16.2%
3Y
15.8%
5Y
19.3%
AUM: ₹5,800 CrMin: ₹50L
as on Jan 2026High

Kotak India Growth Portfolio

Large Cap

Kotak Alternate Asset Managers

Large-cap biased growth portfolio leveraging Kotak institutional research for stock selection.

1Y
14.5%
3Y
15.3%
5Y
18.2%
AUM: ₹9,200 CrMin: ₹50L
as on Jan 2026High

ICICI Prudential PMS Contra Strategy

Value

ICICI Prudential AMC

Contrarian value strategy investing in out-of-favour stocks with strong fundamentals at attractive valuations.

1Y
11.8%
3Y
13.5%
5Y
16.8%
AUM: ₹7,600 CrMin: ₹50L
as on Jan 2026High

HDFC PMS Multi-Cap Opportunities

Multi Cap

HDFC AMC

Multi-cap equity strategy using HDFC's deep research bench to identify opportunities across market caps.

1Y
15.3%
3Y
14.7%
5Y
18.5%
AUM: ₹6,900 CrMin: ₹50L
as on Jan 2026High

Avendus Absolute Return PMS

Multi Cap

Avendus Capital

Absolute return oriented multi-cap strategy using a blend of fundamental and quantitative approaches.

1Y
18.7%
3Y
16.9%
5Y
20.8%
AUM: ₹3,100 CrMin: ₹50L
as on Jan 2026High

Accuracap Emerging Leaders

Small & Mid Cap

Accuracap

Small and mid-cap strategy focused on emerging market leaders with scalable business models.

1Y
26.4%
3Y
22.8%
5Y
25.1%
AUM: ₹450 CrMin: ₹50L
as on Jan 2026High

BNP Paribas India Equity PMS

Large Cap

BNP Paribas Asset Management

Institutional-grade large-cap equity strategy leveraging BNP Paribas global research capabilities.

1Y
13.2%
3Y
14.1%
5Y
16.9%
AUM: ₹2,900 CrMin: ₹50L
as on Jan 2026High

Centrum Micro Strategy

Small & Mid Cap

Centrum PMS

Micro and small-cap focused strategy identifying under-researched companies with high growth potential.

1Y
29.1%
3Y
24.5%
5Y
27.3%
AUM: ₹380 CrMin: ₹50L
as on Jan 2026High

Dolat Multi Strategy PMS

Multi Cap

Dolat Capital

Multi-strategy approach blending value, growth and momentum across market capitalizations.

1Y
17.4%
3Y
15.6%
5Y
19.2%
AUM: ₹520 CrMin: ₹50L
as on Jan 2026High

Emkay Emerging Stars PMS

Small & Mid Cap

Emkay Investment Managers

Identifies emerging small and mid-cap companies with strong earnings growth trajectory.

1Y
24.7%
3Y
21.3%
5Y
24.5%
AUM: ₹680 CrMin: ₹50L
as on Jan 2026High

Equirus Long Horizon PMS

Multi Cap

Equirus Wealth

Long-term multi-cap approach with focus on businesses with durable competitive advantages.

1Y
18.9%
3Y
16.5%
5Y
20.3%
AUM: ₹420 CrMin: ₹50L
as on Jan 2026High

Edelweiss Multi-Cap PMS

Multi Cap

Edelweiss Asset Management

Multi-cap equity strategy with institutional research-driven stock selection across sectors.

1Y
15.8%
3Y
14.9%
5Y
18.1%
AUM: ₹4,200 CrMin: ₹50L
as on Jan 2026High

Girik Multi-Cap Growth PMS

Multi Cap

Girik Capital

High-growth multi-cap strategy using proprietary ROOTS framework for stock selection.

1Y
22.1%
3Y
19.4%
5Y
23.8%
AUM: ₹1,200 CrMin: ₹50L
as on Jan 2026High

Green Portfolio Super 30

Small & Mid Cap

Green Portfolio

Concentrated small and mid-cap portfolio of 30 high-conviction stocks with strong growth potential.

1Y
31.2%
3Y
26.8%
5Y
29.5%
AUM: ₹350 CrMin: ₹50L
as on Jan 2026High

Helios India Rising PMS

Multi Cap

Helios Capital Management

Multi-cap strategy investing in India structural growth themes with rigorous bottom-up selection.

1Y
19.5%
3Y
17.8%
5Y
21.2%
AUM: ₹1,800 CrMin: ₹50L
as on Jan 2026High

Who Should Invest?

High-net-worth investors (HNIs) with ₹50L+ corpus seeking personalized, actively managed equity portfolios with direct stock ownership and transparency.

Typical Returns: 15-25% CAGR (varies significantly)

Disclaimer: PMS investments are subject to market risks. Minimum investment is \u20B950 Lakhs as per SEBI regulations. Past performance does not guarantee future returns. Data sourced from public disclosures and SEBI register.