DGS Consolidated Strategy
DGS Consolidated Strategy is a Multi_asset Portfolio Management Service launched by DGS Capital Management Private Limited on November 2017. Managed by Ashish Sharma, the fund holds ₹183 Cr in AUM and benchmarks against NSE Multi Asset Index 2. Minimum investment is ₹5000000 lakh. Trailing returns: -8.57% (1Y), 18.68% CAGR (3Y), 11.13% since inception. Performance data as of July 2026.
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DGS Consolidated Strategy
DGS Capital Management Private Limited
182.97 CR AUM
DGS Consolidated Strategy
DGS Capital Management Private Limited
182.97 CR AUM
NSE Multi Asset Index 2
Benchmark
8yr 8mo
Age
MULTI_ASSET
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
NSE Multi Asset Index 2
Benchmark
8yr 8mo
Age
MULTI_ASSET
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load

ashish sharma
Fund Manager
MULTI_ASSETStrategies
What is this fund's investment objective?
We design robust, multi factor direct indexing strategies that enable advisors and their clients to seamlessly integrate factor based investing, ESG screens and tilts, and tax management within a single, unified client account.
How has DGS Consolidated Strategy performed?
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1M IA return
0.29%
1M benchmark return
1.71%
Alpha
-1.42%
1M Wealth multiple
1.00x
How has this fund performed vs its benchmark?
2026
2026
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Wealth Creation Calculator
1M IA return
0.29%
1M benchmark return
1.71%
Alpha
-1.42%
1M Wealth multiple
1.00x
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