›Fund Details
Learn

CARNELIAN SHIFT STRATEGY

Carnelian Asset Management & Advisors Pvt Ltd

5,049.10 CR AUM

CARNELIAN SHIFT STRATEGY

CARNELIAN SHIFT STRATEGY

Carnelian Asset Management & Advisors Pvt Ltd

5,049.10 CR AUM

BSE 500 TRI
Benchmark
5yr 7mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
BSE 500 TRI
Benchmark
5yr 7mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Fund manager

manoj bahety

Fund Manager
EQUITYStrategies

Manoj has over 26 years of rich and diverse experience in financial services, having worked with marquee institutions including Edelweiss Securities, Morgan Stanley, Reliance Industries Limited, and Hindustan Petroleum Corporation Limited. He last spent around 11 years at Edelweiss Securities as Deputy Head – Institutional Equity Research, and Head – Forensic, Thematic & Mid Cap Research. He is known for his differentiated, non-consensus research approach and pioneered forensic research, popularly known as “Analysis Beyond Consensus” (ABC Research). This framework has helped investors globally make informed decisions based on underlying fundamentals rather than reported numbers, thereby avoiding potential pitfalls. Under his leadership, mid-cap research has identified several multi-baggers, including VIP Industries, Supreme Industries, Balkrishna Industries, PI Industries, AIA Engineering, ICRA, FAG Bearings India, SKF India, and Gulf Oil Lubricants India. Manoj has represented several committees of the CFA Institute, including serving as Chairperson of the India Advocacy Committee, and is also a member of the US-based global CDPC committee. Outside of work, he is a fitness enthusiast and has been running marathons for the past eight years.

Manoj has over 26 years of rich and diverse experience in financial services, having worked with marquee institutions including Edelweiss Securities, Morgan Stanley, Reliance Industries Limited, and Hindustan Petroleum Corporation Limited. He last spent around 11 years at Edelweiss Securities as Deputy Head – Institutional Equity Research, and Head – Forensic, Thematic & Mid Cap Research. He is known for his differentiated, non-consensus research approach and pioneered forensic research, popularly known as “Analysis Beyond Consensus” (ABC Research). This framework has helped investors globally make informed decisions based on underlying fundamentals rather than reported numbers, thereby avoiding potential pitfalls. Under his leadership, mid-cap research has identified several multi-baggers, including VIP Industries, Supreme Industries, Balkrishna Industries, PI Industries, AIA Engineering, ICRA, FAG Bearings India, SKF India, and Gulf Oil Lubricants India. Manoj has represented several committees of the CFA Institute, including serving as Chairperson of the India Advocacy Committee, and is also a member of the US-based global CDPC committee. Outside of work, he is a fitness enthusiast and has been running marathons for the past eight years.
Fund manager

kunal shah

Fund Manager
EQUITYStrategies

Kunal Shah has overall 12 years of professional experience and is a part of Fund management team & Investment Committee with Carnelian. He has been Carnelian since inception, he is a Chartered Accountant with All India Rank. Kunal's experience in research spans across sectors like Banking, Insurance, Consumer, Auto's, Capital Goods, Chemicals, Pharma etc. He is passionate about reading & understanding various businesses across market caps.

Kunal Shah has overall 12 years of professional experience and is a part of Fund management team & Investment Committee with Carnelian. He has been Carnelian since inception, he is a Chartered Accountant with All India Rank. Kunal's experience in research spans across sectors like Banking, Insurance, Consumer, Auto's, Capital Goods, Chemicals, Pharma etc. He is passionate about reading & understanding various businesses across market caps.
1OF2

Purpose

Carnelian Shift Strategy focuses on capturing structural shifts in the Indian economy through a concentrated portfolio of quality growth companies at a reasonable price. The strategy aims to benefit from long term structural changes such as the manufacturing expansion driven by regulatory reforms, production linked incentive schemes and China plus one supply chain shift, and technology transformation driven by digitalisation, cloud migration, software as a service platforms and global demand for IT services. The portfolio typically holds about 25 listed companies selected through a disciplined investment framework combining quality, growth and valuation supported by forensic analysis under the CLEAR framework which evaluates cash flow analysis, liability analysis, earnings quality analysis, asset quality analysis and related party governance issues. The strategy emphasizes businesses with niche core competence, large opportunity size, strong governance, sustainable competitive advantage and proven execution capability. It focuses on companies positioned to benefit from manufacturing sectors such as chemicals, capital goods, consumer electronics, auto and auto ancillaries, defense and building materials, as well as technology driven opportunities including IT services, digital platforms and cloud based solutions. The portfolio largely invests in companies with scalable business models and strong balance sheets capable of capturing accelerated earnings growth and valuation rerating opportunities. Sector focus on manufacturing and technology. Market cap combination of mid cap and small cap.

Investment Approach v/s Benchmark Metrics

Loading

Unlock all metrics

Login to see the live performance and return

Wealth Creation Calculator

1M IA return
15.28%
1M benchmark return
10.38%
Alpha
4.90%
1M Wealth multiple
1.15x

Investment Approach v/s Benchmark Performance

2026
2026
Loading

Unlock all metrics

Login to see the live performance and return

Wealth Creation Calculator

1M IA return
15.28%
1M benchmark return
10.38%
Alpha
4.90%
1M Wealth multiple
1.15x

Similar Investment Approaches

Enam India Equity Portfolio
Enam India Equity Portfolio
Enam Asset Management Company Private Limited
₹21,139.54 Cr
EQ
Customised Discretionary Portfolio - Equity
Customised Discretionary Portfolio - Equity
360 One Asset Management Limited
₹17,979.78 Cr
EQ
Q India Value Equity Strategy - Constrained V
Q India Value Equity Strategy - Constrained V
Quantum Advisors Private Limited
₹15,759.81 Cr
EQ
ICICI Prudential PMS Contra Strategy
Icici Prudential Pms Contra Strategy
Icici Prudential Asset Management Company Ltd
₹13,391.43 Cr
EQ
BLENDED- RANGOLI
Blended- Rangoli
Unifi Capital P Ltd
₹11,765.52 Cr
EQ

Stock - Holdings

Contact us for details

Sector Allocation

Contact us for details