ALPHA STAR
Portfolio Management ServiceStrategy AUM
Trailing 1Y return
Trailing Returns
APMI · annualised beyond 1Y · as of 01 May 2026
- 1M
- +1.00%
- 3M
- +1.41%
- 6M
- -1.73%
- 9M
- —
- 1Y
- -3.17%
- 2Y
- -1.75%
- 3Y
- +6.24%
- 4Y
- +6.12%
- 5Y
- +4.33%
- Since Inception
- +11.53%
- Strategy AUM
- ₹11 Cr
- Benchmark
- BSE 500 TRI
Performance vs Benchmark
Strategy vs BSE 500 TRI · trailing returns, % · alpha = excess
| Period | Strategy | Benchmark | Alpha |
|---|---|---|---|
| 1 Month | +1.00% | −0.28% | +1.28% |
| 3 Months | +1.41% | −2.49% | +3.90% |
| 6 Months | −1.73% | −5.61% | +3.88% |
| 1 Year | −3.17% | −1.11% | −2.06% |
| 2 Years | −1.75% | +3.06% | −4.81% |
| 3 Years | +6.24% | +12.21% | −5.97% |
| 4 Years | +6.12% | +12.00% | −5.88% |
| 5 Years | +4.33% | +10.96% | −6.63% |
| Since Inception | +11.53% | +13.06% | −1.53% |
Monthly Performance
Growth of ₹100 invested · month-on-month · 13 months
| Month | Strategy | Benchmark | Alpha |
|---|---|---|---|
| May-2026 | +1.00% | −0.28% | +1.28% |
| Apr-2026 | +13.13% | +8.23% | +4.90% |
| Mar-2026 | −11.24% | −11.40% | +0.16% |
| Feb-2026 | +2.04% | +2.42% | −0.38% |
| Jan-2026 | −2.92% | −3.50% | +0.58% |
| Dec-2025 | −1.94% | −0.22% | −1.72% |
| Nov-2025 | −0.93% | +0.86% | −1.79% |
| Oct-2025 | +2.60% | +3.33% | −0.73% |
| Sep-2025 | −2.88% | +0.10% | −2.98% |
| Aug-2025 | +0.57% | −0.87% | +1.44% |
| Jul-2025 | −4.23% | −2.86% | −1.37% |
| Jun-2025 | +3.88% | +3.43% | +0.45% |
| May-2025 | +4.97% | +3.39% | +1.58% |
Strategy Details
APMI fact sheet
- Inception
- 06 Jan 2014
- Age
- 12.5 Years
- Min. investment
- ₹50,00,000
- Turnover (1Y)
- 0.18×
- Turnover (1M)
- 0.00×
- Product
- Equity
as of 31 May 2026
Asset classes
Investment objective
The objective of this Portfolio is to invest in diversified stocks that endeavour to achieve long term growth, through capital appreciation of fundamentally strong businesses, based on the price pattern behaviour of the stock. The investment strategy follows a mix of a top-down and a bottom-up approach. We disclose the performance of this product in terms of absolute as well as XIRR returns along with the BSE-500 Indices.
Fund Managers
1 manager
Name
ROHAN GHALLA
Fees & Investment
As disclosed to APMI
- Min. investment
- ₹50,00,000
- Fixed fees
- AMC CHARGE-1-2.5%
- Variable fees
- Hurdle 8 or 10 Profit 15-20%
- Exit load
- Not disclosed
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
- Ghalla Bhansali Stock Brokers Pvt Ltd
- Strategy
- ALPHA STAR
- Benchmark
- BSE 500 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.
