PMSAIFGet AccreditedStock Holding Movement

Agreya Multi-Asset

Agreya Multi-Asset is a Multi_asset Portfolio Management Service launched by Agreya Capital Advisors Llp on March 2019. Managed by Arjun Narsipur, the fund holds ₹394 Cr in AUM and benchmarks against NSE Multi Asset Index 1. Minimum investment is ₹5000000 lakh. Trailing returns: 5.14% (1Y), 9.91% CAGR (3Y), 9.67% since inception. Performance data as of July 2026.

›Fund Details
Learn

Agreya Multi-Asset

Agreya Capital Advisors Llp

393.81 CR AUM

Agreya Multi-Asset

Agreya Multi-Asset

Agreya Capital Advisors Llp

393.81 CR AUM

NSE Multi Asset Index 1
Benchmark
7yr 4mo
Age
MULTI_ASSET
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
NSE Multi Asset Index 1
Benchmark
7yr 4mo
Age
MULTI_ASSET
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Fund manager

arjun narsipur

Fund Manager
MULTI_ASSETStrategies

Arjun is a seasoned finance and markets professional with over 14 years of experience across equity, FX, global markets and treasury risk management. His area of focus is converting investment philosophies into testable, repetable processes and algorithms.

Arjun is a seasoned finance and markets professional with over 14 years of experience across equity, FX, global markets and treasury risk management. His area of focus is converting investment philosophies into testable, repetable processes and algorithms.
Fund manager

shailendra agarwal

Fund Manager
MULTI_ASSETStrategies

Shailendra has 17 years of experience in debt capital markets and structured finance. This expericne gives him a unique balance sheet perspective of businesses. He has a keen sense of valuig a business and marrying it with it's business prospects.

Shailendra has 17 years of experience in debt capital markets and structured finance. This expericne gives him a unique balance sheet perspective of businesses. He has a keen sense of valuig a business and marrying it with it's business prospects.
1OF2

What is this fund's investment objective?

The primary objective of the Investment Approach is to generate moderate returns through in investments in select equity, debt and quasi debt instruments curated through Agreya's proprietary process.

How has Agreya Multi-Asset performed?

Loading

Unlock all metrics

Login to see the live performance and return

Wealth Creation Calculator

1M IA return
1.46%
1M benchmark return
1.49%
Alpha
-0.03%
1M Wealth multiple
1.01x

How has this fund performed vs its benchmark?

2026
2026
Loading

Unlock all metrics

Login to see the live performance and return

Wealth Creation Calculator

1M IA return
1.46%
1M benchmark return
1.49%
Alpha
-0.03%
1M Wealth multiple
1.01x

Similar Investment Approaches

360 ONE Mandate - Balanced
360 One Mandate - Balanced
360 One Portfolio Managers Limited (Formerly Known As Iifl Wealth Portfolio Managers Limited)
₹5,068.77 Cr
MA
360 ONE Mandate - Aggressive
360 One Mandate - Aggressive
360 One Portfolio Managers Limited (Formerly Known As Iifl Wealth Portfolio Managers Limited)
₹2,301.26 Cr
MA
Kotak Evolv Plus Asset Allocation Investment Approach
Kotak Evolv Plus Asset Allocation Investment Approach
Kotak Mahindra Asset Management Company Ltd
₹1,084.96 Cr
MA
360 ONE Mandate - Conservative
360 One Mandate - Conservative
360 One Portfolio Managers Limited (Formerly Known As Iifl Wealth Portfolio Managers Limited)
₹1,077.02 Cr
MA
Infinity Core Approach
Infinity Core Approach
Nuvama Asset Management Limited
₹1,071.31 Cr
MA