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Abakkus Select Opportunities Strategy 2

Abakkus Asset Manager Private Limited

366.60 CR AUM

Abakkus Select Opportunities Strategy 2

Abakkus Select Opportunities Strategy 2

Abakkus Asset Manager Private Limited

366.60 CR AUM

BSE 500 TRI
Benchmark
2yr 7mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
BSE 500 TRI
Benchmark
2yr 7mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Fund manager

aman chowhan

Fund Manager
EQUITYStrategies

Aman has over 17 years of experience in the Indian equity markets. Prior to joining Abakkus Asset Manager, he served as a Portfolio Manager for both domestic and offshore schemes in the PMS division at Reliance Asset Management (now Nippon Life India Asset Management). During his tenure at the Singapore office of Reliance, Aman gained valuable regional and global investment perspective. He has a strong track record across benchmark-oriented, absolute return, and long as well as long-short investment strategies. Before joining Reliance in 2005, he worked as a Research Analyst with TAIB Securities, Tata TD Waterhouse, and other brokerage firms. Aman holds an MBA degree from University of Mumbai.

Aman has over 17 years of experience in the Indian equity markets. Prior to joining Abakkus Asset Manager, he served as a Portfolio Manager for both domestic and offshore schemes in the PMS division at Reliance Asset Management (now Nippon Life India Asset Management). During his tenure at the Singapore office of Reliance, Aman gained valuable regional and global investment perspective. He has a strong track record across benchmark-oriented, absolute return, and long as well as long-short investment strategies. Before joining Reliance in 2005, he worked as a Research Analyst with TAIB Securities, Tata TD Waterhouse, and other brokerage firms. Aman holds an MBA degree from University of Mumbai.

Purpose

The investment objective of the Abakkus Select Opportunities Strategy II would be to generate alpha and risk adjusted returns for client by investing in benchmark agnostic multicap portfolio of selective ideas.

Investment Approach v/s Benchmark Metrics

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1M IA return
-5.85%
1M benchmark return
-11.37%
Alpha
5.52%
1M Wealth multiple
0.94x

Investment Approach v/s Benchmark Performance

2026
2026
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Login to see the live performance and return

Wealth Creation Calculator

1M IA return
-5.85%
1M benchmark return
-11.37%
Alpha
5.52%
1M Wealth multiple
0.94x

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