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360 ONE Phoenix Portfolio

360 ONE Phoenix Portfolio is a Equity Portfolio Management Service launched by 360 ONE Asset Management Limited on January 2021. Managed by Mr. Sanket Hegde, the fund holds ₹1754 Cr in AUM and benchmarks against BSE 500 TRI. Minimum investment is ₹5000000 lakh. Trailing returns: 0.34% (1Y), 15.72% CAGR (3Y), 17.56% since inception. Performance data as of July 2026.

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360 ONE Phoenix Portfolio

360 ONE Asset Management Limited

1,754.40 CR AUM

360 ONE Phoenix Portfolio

360 ONE Phoenix Portfolio

360 ONE Asset Management Limited

1,754.40 CR AUM

BSE 500 TRI
Benchmark
5yr 5mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
BSE 500 TRI
Benchmark
5yr 5mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Fund manager

sanket hegde

Fund Manager
EQUITYStrategies

Sanket Hegde is an investment professional specializing in Private Credit, Alternative Investment Funds (AIF), and Structured Finance. He is currently associated with 360 ONE Asset (formerly IIFL Wealth & Asset Management), where he works in the investments team.

Sanket Hegde is an investment professional specializing in Private Credit, Alternative Investment Funds (AIF), and Structured Finance. He is currently associated with 360 ONE Asset (formerly IIFL Wealth & Asset Management), where he works in the investments team.
Fund manager

nishant vass

Fund Manager
EQUITYStrategies

Nishant Brings with him 15 years of Investment Experience. Prior to Joining 360 One In January 2022, he was associated with ICICI Securities Ltd in Institutional Equities team where he was leading the Automative sector research practice. Nishant has done MBA with an Engineering Background.

Nishant Brings with him 15 years of Investment Experience. Prior to Joining 360 One In January 2022, he was associated with ICICI Securities Ltd in Institutional Equities team where he was leading the Automative sector research practice. Nishant has done MBA with an Engineering Background.
1OF2

What is this fund's investment objective?

The objective of the investment approach is to generate long term capital appreciation for investors from a portfolio of equity and equity related securities. The investment strategy is to invest in a portfolio following the SCDV framework (Secular, Cyclical, Defensives, Value Trap) wherein it invests in businesses having long-term track record where profitability and growth may have been impacted by short term cycles. The investment manager would target such opportunities having long-term mean reversion capability, having potential for sharp improvement in fundamentals.

How has 360 ONE Phoenix Portfolio performed?

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Wealth Creation Calculator

1M IA return
2.79%
1M benchmark return
1.73%
Alpha
1.06%
1M Wealth multiple
1.03x

How has this fund performed vs its benchmark?

2026
2026
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Wealth Creation Calculator

1M IA return
2.79%
1M benchmark return
1.73%
Alpha
1.06%
1M Wealth multiple
1.03x

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