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Mojo Asset Divergence Alpha Fund

Mojo Asset Divergence Alpha Fund is a Multi_asset Portfolio Management Service launched by Markets MoJo Asset Management Private Limited on April 2026. Managed by Sunil Damania, the fund holds ₹25 Cr in AUM and benchmarks against NSE Multi Asset Index 2. Minimum investment is ₹5000000 lakh, with a Management Fee: Upto 2.5%% fixed fee and Performance Fee: Upto 20% with or without hurdle rate% performance fee. Trailing returns: -0.11% since inception. Performance data as of July 2026.

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Mojo Asset Divergence Alpha Fund

Markets MoJo Asset Management Private Limited

24.93 CR AUM

Mojo Asset Divergence Alpha Fund

Mojo Asset Divergence Alpha Fund

Markets MoJo Asset Management Private Limited

24.93 CR AUM

NSE Multi Asset Index 2
Benchmark
0yr 2mo
Age
MULTI_ASSET
Strategy
Management Fee: Upto 2.5%
Fixed Fees
Performance Fee: Upto 20% with or without hurdle rate
Variable Fees
1st year: 3% 2nd year: 2% 3rd year: 1%
Exit Load
NSE Multi Asset Index 2
Benchmark
0yr 2mo
Age
MULTI_ASSET
Strategy
Management Fee: Upto 2.5%
Fixed Fees
Performance Fee: Upto 20% with or without hurdle rate
Variable Fees
1st year: 3% 2nd year: 2% 3rd year: 1%
Exit Load
Fund manager

sunil damania

Fund Manager
MULTI_ASSETStrategies

Chief Investment Officer at MarketsMojo Asset Management in November 2018. Executive Editor-Investments at Business India in July 2012 to August 2018. Managing Editor and Director-Research at Dalal Street Investment Journal in February 1993 to May 2012. General Manager-Research at Dalal Street Investment Journal in February 1993 to May 2012

Chief Investment Officer at MarketsMojo Asset Management in November 2018. Executive Editor-Investments at Business India in July 2012 to August 2018. Managing Editor and Director-Research at Dalal Street Investment Journal in February 1993 to May 2012. General Manager-Research at Dalal Street Investment Journal in February 1993 to May 2012

What is this fund's investment objective?

The strategy seeks to generate long term capital appreciation through strategic and tactical asset allocation across various mutual fund schemes including Exchange Traded Funds (ETFs), Index funds and actively managed mutual fund schemes. The strategy intends to generate risk adjusted returns by investing across different asset classes including equity, fixed income commodities (Including bullion), sectoral and thematic funds and other permitted securities in accordance with applicable regulations. The Portfolio Manager may also invest in mutual funds schemes that provide exposure to international equities or global indices subject to regulatory limits and market conditions.

How has Mojo Asset Divergence Alpha Fund performed?

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Wealth Creation Calculator

1M IA return
-0.19%
1M benchmark return
1.70%
Alpha
-1.89%
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
-0.19%
1M benchmark return
1.70%
Alpha
-1.89%
1M Wealth multiple
1.00x

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