Profil
Mr. Kumar Nathani, M.Com, CFA (India) is the fund manager for the fixed income schemes of Taurus Mutual Fund.
He has over 10 years of experience in the related areas of treasury and fund management.
Prior to joining Taurus Mutual Fund he was working with UTI/UTI Mutual Fund.
He is also associated with managing the UTI G-Sec Fund (Investment Plan) which won the CNBC TV 18 – BNParibas Mutual Fund Award for the best performing fund in the “one-year category” in 2004.
Anciens postes connus de Kumar Nathani
| Sociétés | Poste | Fin |
|---|---|---|
Taurus Asset Management Co. Ltd.
Taurus Asset Management Co. Ltd. Investment ManagersFinance TAMCO is an active investor which primarily manages portfolios invested in equity, equity-linked securities and fixed-income. The bulk of the firm's investments are held in Indian securities, across sectors and market caps. As a growth-oriented investor they select large-, mid- and small-caps to reduce index specific volatility and aim for long-term capital appreciation. As a value-oriented investor they primarily select small- to mid-cap companies, which are undervalued by the market and have good growth potential. They also manage portfolios which focus exclusively on blue-chips and large-caps. As a fixed-income investor they invest in money market securities and short term, high-quality debts. | Portfolio Manager-Fixed Income | 11/12/2009 |
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| Entreprise privées | 1 |
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Taurus Asset Management Co. Ltd.
Taurus Asset Management Co. Ltd. Investment ManagersFinance TAMCO is an active investor which primarily manages portfolios invested in equity, equity-linked securities and fixed-income. The bulk of the firm's investments are held in Indian securities, across sectors and market caps. As a growth-oriented investor they select large-, mid- and small-caps to reduce index specific volatility and aim for long-term capital appreciation. As a value-oriented investor they primarily select small- to mid-cap companies, which are undervalued by the market and have good growth potential. They also manage portfolios which focus exclusively on blue-chips and large-caps. As a fixed-income investor they invest in money market securities and short term, high-quality debts. | Finance |
















