Deutsche Investments India PMS strategies
Deutsche Investments India runs 5 portfolio management strategies listed with APMI, managing โน401 Cr across them. Compare their returns against each benchmark, fees and minimum investment below.
| Strategy | Category | Manager | AUM | 3Y return | vs benchmark | Fees | Minimum | Data month |
|---|---|---|---|---|---|---|---|---|
| DB India Multi-Asset Mandate / Combination of Growth & Income | Multi Asset | โ | โน206 Cr | +7.88% | โ | โ | โน5 Crore | โ |
| DB India Flexi Bond Mandate/ DIIPL Discretionary India Flexi Bond Mandate | Debt | โ | โน110 Cr | +8.30% | โ | โ | โน5 Crore | โ |
| DB India Multicap Equities / Long-term capital growth | Equity | Yogesh Budhwani | โน42.9 Cr | +12.29% | +3.29 pts | 2% fixed or 1% + 20% of profits | โน50 Lakhs | Aug 2026 |
| DB India Money Market Alpha /Income Generation | Debt | โ | โน22.01 Cr | +7.46% | โ | โ | โน50 Lakhs | โ |
| DIIPL- DB India Alpha Factor Equities | Equity | Yogesh Budhwani | โน20.32 Cr | โ | โ | 2% fixed | โน50 Lakhs | Aug 2026 |
Fees: most managers offer a fixed-fee plan or a variable plan (a lower fixed fee plus a share of profits above a hurdle); both are shown where the disclosure states them clearly, otherwise open the strategy for its full fee terms and exit load. "โ" means the figure isn't reported. Past returns don't predict future returns.
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