PMSAIFGet AccreditedStock Holding Movement

TULSIANPMS

TULSIANPMS is a Equity Portfolio Management Service launched by Tulsian PMS Limited on April 2020. Managed by Abhinandan Tulsian, the fund holds ₹352 Cr in AUM and benchmarks against Nifty 50 TRI. Minimum investment is ₹5000000 lakh, with a % fixed fee and % performance fee. Trailing returns: 10.15% (1Y), 23.78% CAGR (3Y). Performance data as of July 2026.

›Fund Details
Learn

TULSIANPMS

Tulsian PMS Limited

352.48 CR AUM

TULSIANPMS

TULSIANPMS

Tulsian PMS Limited

352.48 CR AUM

Nifty 50 TRI
Benchmark
6yr 3mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Nifty 50 TRI
Benchmark
6yr 3mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Fund manager

abhinandan tulsian

Fund Manager
EQUITYStrategies
Fund manager

abhinandan tulsian

Fund Manager
EQUITYStrategies

Abhinandan has over 7 years' experience in the Capital Markets in various roles from Research to Compliance to Technology at SPT Investment Advisory Services Private Limited and is now leading the team at Tulsian PMS. Previously he has worked at Microlution Inc. in Chicago, USA as a Research Engineer and has multiple publications and a patent in his name. Abhinandan also has a strong academic background which includes Bachelors (from VJTI, Mumbai) and Masters degree (Carnegie Mellon University, USA) in Mechanical Engineering. He also holds CFA, FRM, and CAIA degrees.

Abhinandan has over 7 years' experience in the Capital Markets in various roles from Research to Compliance to Technology at SPT Investment Advisory Services Private Limited and is now leading the team at Tulsian PMS. Previously he has worked at Microlution Inc. in Chicago, USA as a Research Engineer and has multiple publications and a patent in his name. Abhinandan also has a strong academic background which includes Bachelors (from VJTI, Mumbai) and Masters degree (Carnegie Mellon University, USA) in Mechanical Engineering. He also holds CFA, FRM, and CAIA degrees.
1OF2

What is this fund's investment objective?

To invest client funds for long term wealth creation. Clients' portfolio will consist of a mix of large cap, mid cap, small cap and micro cap stocks and related securities to make a balanced portfolio.

How has TULSIANPMS performed?

Loading

Unlock all metrics

Login to see the live performance and return

Wealth Creation Calculator

1M IA return
12.11%
1M benchmark return
-1.72%
Alpha
13.83%
1M Wealth multiple
1.12x

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
12.11%
1M benchmark return
-1.72%
Alpha
13.83%
1M Wealth multiple
1.12x

Similar Investment Approaches

Enam India Equity Portfolio
Enam India Equity Portfolio
Enam Asset Management Company Private Limited
₹21,708.57 Cr
EQ
Q India Value Equity Strategy - Constrained V
Q India Value Equity Strategy - Constrained V
Quantum Advisors Private Limited
₹15,673.55 Cr
EQ
Customised Discretionary Portfolio - Equity
Customised Discretionary Portfolio - Equity
360 One Asset Management Limited
₹14,727.93 Cr
EQ
ICICI Prudential PMS Contra Strategy
Icici Prudential Pms Contra Strategy
Icici Prudential Asset Management Company Ltd
₹13,837.43 Cr
EQ
ValueQuest Alpha
Valuequest Alpha
Valuequest Investment Advisors Pvt. Ltd.
₹11,991.76 Cr
EQ