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Invest in Nippon India Equity Opportunities AIF

Experience Growth Through a Focused Portfolio of High-Quality, Dominant Businesses.

Minimum Investment : ₹1Crore

Book a call with our experts

Nippon Asset

About Nippon Asset Management

Nippon Life India AIF Management Limited, a wholly owned subsidiary of Nippon Life India Asset Management Limited (NAM India), serves as the asset manager for Nippon India Mutual Fund. Promoted by Nippon Life Insurance Company, which holds a 74.95% stake, NAM India is publicly listed on the BSE and NSE. As India’s largest asset manager, NAM India caters to over 5 million investors across mutual funds, ETFs, portfolio management, pension funds, alternative investments, and offshore strategies. With expertise in equity, debt, and real estate, and a robust network of over 42,500 distributors and 160 customer touchpoints, NAM India offers tailored solutions supported by one of the country’s most experienced investment teams.

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How You Can Benefit With Renaissance Absolute Return Alpha Portfolio

Balanced Investment Approach

Benefit from a portfolio that strikes the right balance between risk, growth, quality, and valuation, ensuring healthy alpha generation with stringent stock selection filters.

Expert Risk Management

Enjoy peace of mind with our robust risk management strategy, focusing on high-quality businesses with sustainable growth, managed by experienced professionals to mitigate various investment risks.

Superior Risk-Adjusted Returns

Achieve superior risk-adjusted returns over the medium to long term through a meticulously constructed, low-risk, high-quality growth portfolio

Nippon Asset Management Investment Philosophy

About Fund Manager

Rahul Veera

Rahul Veera brings over 14 years of experience in Equity Research and Fund Management, with expertise in sectors such as consumer goods, pharmaceuticals, chemicals, and building materials. Known for his ability to identify profitable themes and stocks, he has delivered substantial returns throughout his career.

He holds a Bachelor of Commerce degree from H.R. College (Mumbai University), an MBA from Swansea University, and an Executive Finance certification from the Indian Institute of Management. Rahul has previously worked with reputed organizations including Abakkus Asset Managers, Morgan Stanley, Edelweiss, and Elara Capital, gaining valuable insights and experience in the financial sector

Performance Of Nippon Asset Management Over The Last 3 Years In Navigating Volatile Markets

*Data as of June 2024

Past performance may or may not sustain in the future. Investment in the AIF & PMS is subject to market risk, please read all the documents before investing. AIF & PMS Experts India do not guarantee any kind of returns

Pro Analysis for Smarter Investments & Risk Control?

SpeakerMr. Sunil Singhania (Founder & Abakkus Asset Management)
HostVikas Agrawal (AIF & PMS Experts India Pvt Ltd.)

SpeakerMr. Pankaj Murarka (Director & CIO, Renaissance Investment Managers)
HostVikas Agrawal (Founder & CEO, AIF & PMS Experts India Pvt Ltd.)

Why AIF&PMS Experts?

Over 350 investors
have invested in
our process

Over ₹500 crores
have been invested using
our process

Trusted by
investors across
10 countries

Over 15,000 investors
use our tools before
deciding to invest

Process-driven returns

Invest with confidence in our proven process, as we meticulously follow a robust framework for selecting fund managers and portfolios of Alternative Investment Funds (AIF) and Portfolio Management Service (PMS) Funds. We refer to it as the 3Is of investing, where we add the third ‘I’ (eye) of scrutiny, focusing on Investment Manager Style, Investment Portfolio Quality, and Investment Performance Consistency.

Investment
Style

Clear, adaptable strategies aligned with investor goals, crucial for navigating market fluctuations and capitalizing on opportunities.

Investment
Quality

Fundamental analysis focuses on a company’s intrinsic value, management, competitive edge, and financial health for sustainable portfolio growth.

Investment
Performance

Emphasizing consistent, risk-adjusted returns, and effective drawdown management to achieve long-term growth while preserving capital.

Client Testimonial

Book a call with our experts

Nippon Asset

Frequently Asked Questions

Nippon India Equity Opportunities AIF is an Alternative Investment Fund focused on a concentrated portfolio of high-quality, dominant businesses with significant growth potential. It is ideal for investors seeking long-term capital appreciation through exposure to a diversified, multi-cap equity portfolio.

The fund emphasizes on business potential, corporate governance, environmental and social factors, and efficient capital allocation. This structured methodology is designed to deliver consistent and sustainable returns.

The fund is managed by Rahul Veera, an experienced fund manager with over 14 years of expertise in equity research and fund management across various sectors, including consumer goods, pharmaceuticals, chemicals, and building materials.

The fund employs a bottom-up stock-picking approach, focusing on companies with strong earnings track records, governance standards, and sustainable competitive advantages. It also selectively invests in opportunities at the IPO/FPO stage that are aligned with its investment philosophy.

You can invest with AIF & PMS Experts India, who will guide you through the process and help with the necessary requirements for investing in the fund. Simply inquire through the “Inquire Now” for further assistance or fill the contact form.

If you have any queries, please contact Mr. Devanshu (AIFPMS VP) at +91 95616 10108 or email us at vikas@aifpms.com

We are here to manage your finance with experience

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