PMS details

    Active Index Portfolio

    Portfolio Management Service
    ICICI Securities Limitedvs Nifty 50 TRIAPMIInvestment approach
    ₹90 Cr

    Strategy AUM

    -2.04%

    Trailing 1Y return

    Trailing Returns

    APMI · annualised beyond 1Y · as of 01 May 2026

    1M
    -0.39%
    3M
    -5.81%
    6M
    -7.78%
    9M
    1Y
    -2.04%
    2Y
    -0.60%
    3Y
    +12.54%
    4Y
    +13.21%
    5Y
    +11.30%
    Since Inception
    +11.57%
    Strategy AUM
    ₹90 Cr
    Benchmark
    Nifty 50 TRI

    Performance vs Benchmark

    Strategy vs Nifty 50 TRI · trailing returns, % · alpha = excess

    PeriodStrategyBenchmarkAlpha
    1 Month−0.39%−1.72%+1.33%
    3 Months−5.81%−6.30%+0.49%
    6 Months−7.78%−9.87%+2.09%
    1 Year−2.04%−3.84%+1.80%
    2 Years−0.60%+3.35%−3.95%
    3 Years+12.54%+9.53%+3.01%
    4 Years+13.21%+10.37%+2.84%
    5 Years+11.30%+9.87%+1.43%
    Since Inception+11.57%+11.57%+0.00%

    Monthly Performance

    Growth of ₹100 invested · month-on-month · 13 months

    MonthStrategyBenchmarkAlpha
    May-2026−0.39%−1.72%+1.33%
    Apr-2026+6.57%+7.49%−0.92%
    Mar-2026−11.27%−11.30%+0.03%
    Feb-2026+0.98%−0.51%+1.49%
    Jan-2026−3.24%−3.04%−0.20%
    Dec-2025+0.20%−0.28%+0.48%
    Nov-2025+1.02%+1.92%−0.90%
    Oct-2025+4.35%+4.62%−0.27%
    Sep-2025−0.52%+0.77%−1.29%
    Aug-2025−0.45%−1.21%+0.76%
    Jul-2025−3.02%−2.77%−0.25%
    Jun-2025+4.93%+3.37%+1.56%
    May-2025+1.44%+1.92%−0.48%

    Strategy Details

    APMI fact sheet

    Inception
    22 Apr 2019
    Age
    7.1 Years
    Min. investment
    ₹50,00,000
    Turnover (1Y)
    0.93×

    as of 31 May 2026

    Turnover (1M)
    0.00×
    Product
    Equity

    Asset classes

    Equity

    Investment objective

    To deliver Capital appreciation over a long term by investing in equities, based on low volatility and high alpha factors by following NIFTY ALPHA LOW VOLATILITY(ALV) 30 Index

    Fund Managers

    1 manager

    • Name

      T.K. Srirang

    Fees & Investment

    As disclosed to APMI

    Min. investment
    ₹50,00,000
    Fixed fees
    Not disclosed
    Variable fees
    Not disclosed
    Exit load
    Not disclosed

    APMI does not publish a fee schedule for this strategy — confirm fees with the portfolio manager.

    PMS Industry — SEBI

    Latest monthly aggregate

    Total PMS AUM
    ₹44.11 Lakh Cr
    Total clients
    2,23,279
    Discretionary
    ₹37.37 Lakh Cr
    Period
    july-2026

    Industry AUM by asset class (top 5)

    • Plain Debt Listed₹28.98 Lakh Cr
    • Listed Equity₹7.60 Lakh Cr
    • Plain Debt Unlisted₹5.00 Lakh Cr
    • Mutual Funds₹1.93 Lakh Cr
    • Others₹40,423 Cr

    About

    Provider
    ICICI Securities Limited
    Strategy
    Active Index Portfolio
    Benchmark
    Nifty 50 TRI
    Source
    APMI

    Strategy performance, AUM, fees and fund-manager details are sourced from APMI (Association of Portfolio Managers in India); industry aggregates are from SEBI’s monthly PMS disclosures. Returns beyond one year are annualised; past performance is not indicative of future results, and a PMS strategy carries no capital guarantee. For information only, not investment advice.