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Invesco India Infrastructure Fund Direct Pan Payout Of Income Dist Cum Capital Wtdrl (0P0000XVH9)

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55.300 +0.850    +1.56%
22/11 - Closed. Currency in INR
  • Morningstar Rating:
  • Total Assets: 15.91B
Type:  Fund
Market:  India
Issuer:  Invesco Asset Management (India) Private Ltd
ISIN:  INF205K01MB8 
Asset Class:  Equity
Invesco India Infrastructure Fund - Direct Pan - D 55.300 +0.850 +1.56%

0P0000XVH9 Overview

 
On this page you'll find an in-depth profile of Invesco India Infrastructure Fund Direct Pan Payout Of Income Dist Cum Capital Wtdrl. Learn about the key management, total assets, investment strategy and contact information of 0P0000XVH9 among other information.
Category

Sector - Infrastructure

Total Assets

15.91B

Expenses

0.71%

Inception Date

Jan 01, 2013

Investment Strategy

To generate capital appreciation by investing in a portfolio that is predominantly constituted of Equity and Equity Related Instruments of infrastructure companies.

Contact Information

Address 3rd Floor, GYS Infinity,
Mumbai,Maharashtra 400 057
India
Phone +91 22 67310000
Fax +91 22 28371565

Top Executives

Name Title Since Until
Amit Nigam Fund Manager 2020 Now
Biography Amit has over 23 years’ of experience in the Indian equity markets and is serving as a Fund Manager - Equity with effect from 3rd September, 2020. He was earlier responsible for the PMS equity management function at Invesco asset management (India) Pvt. Limited. In his last assignment before joining Invesco, Amit was working with Essel Mutual Fund as Head of Equities where he was responsible for the Equity Funds management function at the firm. In the past, he has also worked with companies like BNP Paribas Investment Partners, BNP Paribas Mutual Fund, SBI Funds Management & Reliance Industries Ltd. Amit holds a Mechanical Engineering Degree from Indian Institute of Technology Roorkee and a PGDBM from Indian Institute of Management, Indore.
Neelesh Dhamnaskar Fund Manager 2018 2022
Biography Neelesh has over 18 years’ experience in equity markets and financial services domain. Before joining the PMS division of Invesco, Neelesh was managing few equity funds, overseas fund of fund schemes of Invesco Mutual Fund as well as tracking few sectors as an analyst. He was previously working with Enam(now a part of Axis Bank) where he was tracking companies across sectors and assisting the PMS Fund Manager in his investment decisions. Prior to this, he was working with KRC, a domestic broking house in equity research and has also worked with Anand Rathi Securities Limited as a Commodities Research Analyst. Neelesh holds a Commerce degree and an MMS degree with specialization in Finance from Mumbai University.
Pranav Gokhale - 2012 2020
Amit B. Ganatra Fund Manager 2010 2014
Biography Amit has over 21 years’ experience in equity research and currently serves as Director & Head of Equities at Invesco, where he is responsible for providing leadership to the equity investment function. In his last assignment, Amit was working with HDFC Asset Management Company Ltd., as Senior Fund Manager. Prior to joining HDFC AMC, Amit has worked with Invesco for almost 11 years managing key investment strategies, DBS Cholamandalam Mutual Fund & Fidelity covering banking, property, and construction sectors. Amit holds a Commerce degree and is a Chartered Accountant. He is also a Chartered Financial Analyst from AIMR.
Pradeep Kumar Portfolio Manager 2008 2010
Biography Pradeep Kumar, PhD, CFA, is a Principal and Portfolio Manager for PGIM Fixed Income's Emerging Markets Debt Team. Mr. Kumar is responsible for developing EM local markets strategy. Prior to joining the Firm in 2019, Mr. Kumar was a Portfolio Manager and Co-Head of Emerging Markets at Ontario Teachers’ Pension Plan (“OTPP”) in Toronto. At OTPP he managed local market portfolios across emerging markets, which included a GBIEM index portfolio and an Absolute Return portfolio. Prior to OTPP, Mr. Kumar spent 13 years as a Portfolio Manager in the hedge fund industry. From 2005 through 2017 he was employed at several firms including Balyasny Asset Management, Woodbine Capital Advisors and Drake Management. During his time working in the hedge fund industry, he managed a fundamentally driven, discretionally global, macro portfolio with a focus on emerging markets. Prior to his experience in investment management, Mr. Kumar was a director in the emerging markets fixed income quantitative group at Citigroup. He joined Citigroup in 1997 as a research analyst in emerging markets where he worked on currency and interest rates models and developed quantitative trading strategies. He received a PhD in Economics from University of Alabama and holds the Chartered Financial Analyst (“CFA”) designation.
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