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AXIS SECURITIES ETHICAL

Axis Asset Management Company Limited

About Company

Axis is one of the leaders in managing a large portfolio of companies in public markets. they have demonstrated capability in portfolio construction, portfolio management, and strong performance across their offerings. the Axis team has sourced and invested in a number of unlisted companies across multiple sectors (e.g. NSE, SBI General, Bikaji Foods, Fab India, etc.) which have delivered superior business performance over a period of time. Due Diligence | Portfolio Selection | Portfolio Monitoring | Exits

 

Investment Philosophy

Long-term Wealth Creation

Moving away from transactional, quick-gratification investing toward long-term life goals.

Outside-in (Customer) View

Prioritizing the investor’s perspective and needs in every decision.

Sustainable Relationships

Building enduring connections with partners and investors rather than focusing on single transactions.

Investment Approach & Process

Axis AMC employs a bottom-up, benchmark-agnostic approach to portfolio construction, which includes:Β 

 

  • Quality Focus: Identifying companies with strong competitive positioning, sound balance sheets, credible management teams, and sustainable earnings growth potential.
  • ESG Integration: Rather than simple screening, they integrate Environmental, Social, and Governance (ESG) factors into their fundamental research to understand a company’s fair value and long-term sustainability.
  • Risk Management: A disciplined culture that manages portfolio risks through strict liquidity and volatility targets.
  • “Owner” Mindset: A long-term focus that involves active monitoring and engagement with investee companies to protect and enhance value.Β 

Key Investment Themes

  • Brand-Led Businesses: Many strategies (like their flagship PMS) focus on companies with strong consumer or business brands that offer pricing power and durable competitive advantages.
  • Growth Economy: The philosophy assumes India is a growth economy, seeking businesses that can exceed nominal GDP growth through accelerating cash flows.
  • Special Situations: They also target opportunities arising from regulatory changes, new technologies, and shifting consumer behavior.

AXIS SECURITIES ETHICAL

Benchmark: BSE 500 TRI

Axis Securities Ltd

AUM(Cr.) 1M 3M 6M 1Y 2Y 3Y 4Y 5Y Ince.
Performance β‚Ή19.32 -10.43 -12.28 -14.05 -15.16 -1.46 11.39 NA NA 7.21
Benchmark NA -11.37 -13.94 -9.62 -3.12 1.32 12.89 NA NA 10.37
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Fund Manager

B.Gopkumar

B.Gopkumar

B.Gopkumar is the Managing Director & Chief Executive Officer (MD & CEO) of Axis AMC. With almost three decades of experience in the financial services industry, Mr. Gopkumar has successfully navigated challenging roles in sales & distribution and marketing & branding. He is known for his proficiency in managing large teams and building digital ecosystems. Prior to this, he was the MD & CEO of Axis Securities from 2019. Before that, he has chaired leadership positions at several reputed firms including Reliance Securities and Kotak Group. He passionately believes that technology-driven solutions are imperative to empower investors and partners to unlock the true potential of the Indian financial services landscape. He is an avid reader, a fitness enthusiast, and a passionate marathoner. Educational Qualification: MBA from Mangalore University, Senior Executive Leadership Programme from Harvard Business School.  

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Disclaimer: Investing in AIF, PMS, Gift City or Mutual Fund is subject to market risk. Please read the related documents carefully. Past performance does not guarantee future results and there is no assurance that the managed accounts will necessarily achieve their objectives. Actual portfolios may differ as a result of account size, client-imposed investment restrictions, the timing of client investments and market, economic, and individual company factors. We at ALTPORT do not guarantee any returns in the hands of investors, nor do we take any sort of accountability for the performance of the scheme.

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