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Total assets under management, month by month — the sum across this house's strategies.
| Strategy | Category | AUM (₹ Cr) | 12M | 36M | vs BM | |
|---|---|---|---|---|---|---|
| RHPMPL- FLEXICAP PORTFOLIO The portfolio invests across markets caps, so a broader index is selected from the benchmarks available. | Equity | 375 | +13.9 | +8.9 | +9.2 | View details → |
| RHPMPL- MULTI ASSET PORTFOLIO To achieve long term appreciation by investing in a disciplined, model- based approach for managing risk to deliver superior risk adjusted return. | Multi Asset | 295 | +4.1 | +8.4 | -2.7 | View details → |
| RHPMPL- SUPER VALUE M&S CAP PORTFOLIO The Portfolio invests in Mid & Small Cap | Equity | 222 | +25.9 | +15.0 | +21.2 | View details → |
| RH MINERVA INDIA UNDER-SERVED The portfolio invests in Small cap | Equity | 181 | +21.3 | +11.8 | +16.6 | View details → |
| RHPMPL - ALLIANCE PORTFOLIO The Portfolio allocated towards equity, Gold and debts | Multi Asset | 137 | +7.2 | +12.1 | +0.3 | View details → |
| RH Supervalue Aggressive The funds invests across market caps | Equity | 102 | +25.6 | +15.8 | +20.9 | View details → |
| RHPMPL - ALL SEASON FUND The portfolio allocates towards equity, Gold& Debt | Multi Asset | 44 | +13.8 | +13.8 | +6.9 | View details → |
| RHPMPL-RH India Business Leader Portfolio Equity | Equity | 42 | +3.7 | +10.9 | +4.0 | View details → |
| RH-PERENNIAL The portfolio invests across market caps | Equity | 32 | +10.1 | +11.9 | +5.3 | View details → |
| RHPMPL BLENDED ASSET PORTFOLIO The Portfolio seeks to generate medium to long-term capital appreciation and income by investing across a diversified mix of asset classes, including equity and equity-related instruments, fixed income and debt securities, money market instruments, gold and other commodities (through permitted exchange-traded instruments), and REITs/InvITs. The Portfolio aims to optimise risk-adjusted returns by dynamically allocating across these asset classes based on prevailing macroeconomic conditions, market valuations, interest rate environment, and the Portfolio Manager's proprietary asset allocation framework. | Multi Asset | 17 | 0.0 | 0.0 | 0.0 | View details → |
| RHPMPL - YIELD MULTIPLIER-I Invests in secured high yielding debt security of real estate companies option to also make mezzanine investments and equity structure. | Multi Asset | 10 | -8.4 | -2.9 | -15.3 | View details → |
| RH AlphaBots India 100 The portfolio invests in Mid Cap | Equity | 7 | +8.8 | +15.5 | +9.2 | View details → |
| RH AlphaBots India Midcap 29 The Portfolio invests in mid cap | Equity | 3 | +12.7 | +15.5 | +7.9 | View details → |
| RH Alphabots India Large Cap 50 The portfolio invests in large cap | Equity | 2 | +3.9 | +7.1 | +4.2 | View details → |
| RHPMPL-RHIUNDERVALUED PORTFOLIO The portfolio Invests across market caps | Equity | 0 | 0.0 | 0.0 | 0.0 | View details → |
| RHPMPL DYNAMIC QUANT PORTFOLIO The investment objective is to generate long-term capital appreciation through a systematic, modeldriven
investment process in Indian listed securities. The strategy will dynamically allocate across
market caps, sectors and styles based on proprietary quantitative signals, valuation, momentum,
liquidity and risk controls. | Equity | 0 | 0.0 | 0.0 | 0.0 | View details → |