CARNELIAN LIQUID STRATEGY
CARNELIAN LIQUID STRATEGY is a Debt Portfolio Management Service launched by Carnelian Asset Management & Advisors Pvt Ltd on February 2021. Managed by Manoj Bahety, the fund holds ₹125 Cr in AUM and benchmarks against CRISIL Composite Bond Index. Minimum investment is ₹5000000 lakh, with a Nil% fixed fee and Nil% performance fee. Trailing returns: 4.53% (1Y), 5.35% CAGR (3Y), 4.71% since inception. Performance data as of July 2026.
CARNELIAN LIQUID STRATEGY
124.60 CR AUM
CARNELIAN LIQUID STRATEGY
124.60 CR AUM

manoj bahety

kunal shah
What is this fund's investment objective?
This Investment approach is intended to aid investors who primarily are desirous of investing into equities but are unsure of market movements in the near term and do not want to invest all the funds in equity at one go. Such investors can invest into Carnelian Liquid Portfolio and can subsequently transfer funds to equity PMS over a period of time. Though reasonable endeavor will be made to achieve the objectives of Investment approach, there is no guarantee or assurance that the investment objective will be achieved. No guaranteed returns are being offered under these services
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