Ashika Investment Managers PMS is a specialized portfolio and alternative investment management arm of the broader Ashika Group, offering sophisticated wealth management solutions primarily for High Net-Worth Individuals (HNIs), family offices, and institutional investors. Established as part of Ashika’s diversified financial ecosystem, the firm combines decades of market expertise with a modern, data-driven investment philosophy focused on long-term capital appreciation and risk-adjusted returns. Ashika Investment Managers operates through SEBI-regulated investment structures, including Category III Alternative Investment Funds (AIFs), with strategies that closely resemble professionally managed PMS offerings for discerning investors.
The firm’s investment approach is built on rigorous fundamental research, quantitative analysis, and disciplined portfolio construction. Ashika emphasizes identifying structural market inefficiencies, reducing behavioral biases, and leveraging advanced analytics to uncover high-conviction investment opportunities across market capitalizations and sectors. This combination of technology-driven investing and human expertise allows Ashika to create portfolios designed to outperform over medium- to long-term horizons while maintaining prudent risk controls.
Ashika’s flagship strategies, including Ashika India Alpha Fund and Ashika India Select Fund, focus on long-only and long-biased equity investing. These strategies are sector-agnostic and market-cap flexible, allowing fund managers to dynamically allocate capital to businesses with strong growth potential, attractive valuations, and sustainable competitive advantages. The management team, led by experienced professionals such as Paras Bothra and Manish Lodha, brings extensive expertise across equity research, portfolio management, and institutional investing.
One of the notable strengths of Ashika Investment Managers is its integration of institutional-grade research capabilities with customized wealth solutions. Investors benefit from transparency, strategic diversification, and professionally curated portfolios tailored to evolving market conditions. The firm’s strong parentage under Ashika Group, which has over 30 years of financial services experience, further enhances its credibility and operational depth.
Overall, Ashika Investment Managers PMS is positioned as a compelling choice for investors seeking actively managed, research-backed portfolio strategies with a focus on alpha generation. Its blend of traditional investment wisdom, quantitative precision, and robust governance makes it particularly appealing to investors looking for personalized wealth creation solutions beyond conventional mutual funds.
| AIF Investment Approach(s) | Returns | |||||
|---|---|---|---|---|---|---|
| Investment Approach | Category | 1 Yr Return | 2 Yr Return | 3 Yr Return | 5 Yr Return | Inception Date |
| Ashika India Select Fund | Flexi Cap | -5.60% | NA | NA | NA | Jan 2024 |
*All performance above are as on 30th September 2025. *Above 1 year returns are in CAGR*
Chief Investment Officer
Paras Bothra brings over two decades of extensive experience in the Indian capital markets, with proven expertise in equity research, portfolio management, and investment strategy. As the Chief Investment Officer at Ashika Investment Managers Pvt. Ltd., he oversees the Ashika India Select Fund and Ashika India Alpha Fund, leveraging his deep market understanding to deliver sustainable, long-term value creation. Associated with the Ashika Group since 2005, Mr. Bothra has been instrumental in building and scaling several of its key businesses, including the Alternative Investment Fund (AIF) division. Renowned for his analytical rigor and forward-looking investment philosophy grounded in fundamental research, he is recognized as one of the leading investment professionals in the industry. He holds a Post Graduate Diploma in Business Management from Wigan & Leigh College (UK affiliated), a B.Com (Hons) from the University of Calcutta and has completed a specialized course in valuation under globally acclaimed finance professor Aswath Damodaran.
1008, 10th Floor, Raheja Centre, 214, Nariman Point, Mumbai - 400021 SEBI Reg. No.: IN/AIF3/20-21/0811