Avendus Investment Managers Pvt Ltd

Avendus Investment Managers Pvt Ltd

AUM (Cr.)

631.82

Clients

162

Inv. Approach

1

As On Date

30 September 2025

Avendus Investment Managers is the asset management and portfolio management arm of the Avendus Group, one of India’s leading full-spectrum financial services firms. The PMS business operates with a strong focus on long-term wealth creation by investing in high-quality listed equities through a disciplined, research-led approach. It primarily caters to high-net-worth individuals (HNIs), family offices, and institutional investors seeking differentiated equity strategies beyond traditional mutual funds.

At the core of Avendus PMS is its philosophy of identifying “quality growth businesses” that are well-positioned to benefit from India’s structural economic expansion. The investment team follows a bottom-up stock selection process, emphasizing strong corporate governance, scalable business models, sustainable earnings growth, and prudent capital allocation. Rather than chasing short-term market movements, the strategies are designed to deliver consistent compounding over long investment horizons.

One of the key offerings under Avendus PMS is the Olivo strategy, a diversified, all-cap equity portfolio that invests across sectors such as consumption, financial services, banking, capital goods, and exports. The strategy is unconstrained by benchmarks, allowing fund managers the flexibility to allocate capital wherever they see the strongest risk-adjusted opportunities. This flexibility helps the portfolio adapt to changing market cycles while maintaining a focus on long-term fundamentals.

Avendus Investment Managers benefits from the broader Avendus ecosystem, which includes investment banking, wealth management, and credit solutions. This integrated platform provides deep market insights, strong research capabilities, and access to a wide network of corporate relationships, all of which support better investment decision-making.

Risk management and disciplined portfolio construction are central to its approach. The PMS does not rely on leverage-heavy strategies or speculative trading but instead focuses on quality balance sheets and resilient business models. This makes it suitable for investors with a moderate-to-high risk appetite who are seeking equity exposure with a long-term horizon.

Overall, Avendus Investment Managers PMS stands out for its institutional-grade research, conviction-based investing, and focus on India’s long-term growth story. It is positioned as a premium portfolio management service for investors who prefer professionally managed, actively curated equity portfolios aimed at wealth creation over time.

PMS Investments

PMS Investment Approach(s) Returns
Investment Approach Category 1 Yr Return 2 Yr Return 3 Yr Return 5 Yr Return Inception Date
Olivo Core Equity Portfolio Multi Cap & Flexi Cap -11.57% 14.31% 18.58% 18.67% Jul 2020

*Returns are as of 30th September 2025, *Returns over a 1-year period are annualized *Returns are calculated using the Time Weighted Rate of Return (TWRR) method and as provided by the respective AMCs. *ND (No Data), *NA (Not Applicable) *Returns of the respective Benchmark Indices used are tabulated above. Benchmark(s) given are as per SEBI circular no. SEBI/HO/IMD/IMD-PoD-2/P/CIR/2022/172 dated December 16, 2022 and the APMI circular no. APMI/2022-23/02 dated 23rd March, 2023, and Revised Annexure-1

Portfolio Managers

Mr Ganeshram Jayaraman
Mr Ganeshram Jayaraman

Fund Manager

Ganeshram Jayaraman serves as the Chief Investment Officer and Head of Avendus Long Only Public Equities, where he is focused on building a credible, differentiated, and scalable domestic investment platform. With deep expertise in long-term investment strategy, he brings a strong track record of leadership and market insight. Before taking on his current role, Ganeshram was instrumental in developing the Institutional Equities business at Avendus Spark, where, as Managing Director and Head, he led India’s top-ranked strategy research desk advising CIOs and portfolio managers on their India portfolios. He also played a key role in nurturing talent, expanding operations, and positioning the business as a market leader. Ganeshram began his career as a credit analyst with HSBC and Standard Chartered Bank, lending to India’s large corporates. A CPA by qualification, he is equally passionate about family, food, and cricket.

AMC Reg. Address

8th Floor, Platina, Bandra Kurla Complex G Block, Mumbai 400051 SEBI Reg No : INP000006174

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