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Wealth Protector Multi Asset Strategy

Wealth Protector Multi Asset Strategy is a Hybrid Portfolio Management Service launched by Composite Investments Private Limited on June 2021. Managed by MANAVALAN GAJENDRA, the fund holds ₹59 Cr in AUM and benchmarks against Nifty 50 Hybrid Composite Debt 50:50 Index. Minimum investment is ₹5000000 lakh, with a 0.5% Management Fee% fixed fee. Trailing returns: 6.11% (1Y), 8.21% CAGR (3Y), 7.51% since inception. Performance data as of July 2026.

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Wealth Protector Multi Asset Strategy

Composite Investments Private Limited

58.69 CR AUM

Wealth Protector Multi Asset Strategy

Wealth Protector Multi Asset Strategy

Composite Investments Private Limited

58.69 CR AUM

Nifty 50 Hybrid Composite Debt 50:50 Index
Benchmark
5yr 1mo
Age
HYBRID
Strategy
0.5% Management Fee
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Nifty 50 Hybrid Composite Debt 50:50 Index
Benchmark
5yr 1mo
Age
HYBRID
Strategy
0.5% Management Fee
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Fund manager

manavalan gajendra

Fund Manager
HYBRIDStrategies

Gajendra Manavalan, is currently a Fund Manager at Composite Investments Pvt Ltd. Gajendra Manavalan brings experience from previous roles at Kotak Mahindra Old Life Insurance Limited, Kotak Mahindra General Insurance Co. Ltd. Kotak Mahindra Old Mutual Life Insurance Ltd and MetLife. Gajendra Manavalan holds a 2002 - 2004 MBA in Finance @ ICFAI Bangalore. With a robust skill set that includes Investments, Asset Management, Funding, Fixed Income, Mutual Funds and more.

Gajendra Manavalan, is currently a Fund Manager at Composite Investments Pvt Ltd. Gajendra Manavalan brings experience from previous roles at Kotak Mahindra Old Life Insurance Limited, Kotak Mahindra General Insurance Co. Ltd. Kotak Mahindra Old Mutual Life Insurance Ltd and MetLife. Gajendra Manavalan holds a 2002 - 2004 MBA in Finance @ ICFAI Bangalore. With a robust skill set that includes Investments, Asset Management, Funding, Fixed Income, Mutual Funds and more.

What is this fund's investment objective?

To generate a balanced mix of long-term capital growth & capital preservation +stable returns by investing in a mix of high quality debt and equity instruments

How has Wealth Protector Multi Asset Strategy performed?

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1M IA return
2.33%
1M benchmark return
2.25%
Alpha
0.08%
1M Wealth multiple
1.02x

How has this fund performed vs its benchmark?

2026
2026
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Wealth Creation Calculator

1M IA return
2.33%
1M benchmark return
2.25%
Alpha
0.08%
1M Wealth multiple
1.02x

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