Equity: Multi Cap

Ocean-Avendus Olivo Core Equity Portfolio

by Ocean-Avendus Olivo·Blend·Benchmark: S&P BSE 500 Total Return Index
8.5
Nyra score
Independently scored
5-yr track record · since Jul 2020BlendAUM ₹306 CrSEBI-registered PMS
3Y CAGR
15.9%
vs 14.9% index
5Y CAGR
11.2%
vs 13.9% index
Since inception
14.9%
CAGR · net of fees
₹1 Cr became
₹2.00 Cr
index ₹2.31 Cr
AUM
₹306 Cr
strategy size
Minimum
₹50 L
SEBI minimum
Snapshot

What this strategy is

Avendus Olivo Core Equity Portfolio is a Long only public markets strategy investing in listed equities. Its a high conviction portfolio. Fundamentals oriented long-term investing based on a diligently followed Investment Process and research orientation with a Buy and Hold mindset. It is well diversified across sectors/themes/trends & is Market-cap agnostic with a focus on the business and not the size.

Performance · what ₹1 crore would have become
₹2.00 Cr
+100% · 2.0× your money
  • This strategy₹2.00 Cr
  • S&P BSE 500 Total Return Index₹2.31 Cr
₹1 Cr invested at inception (Jul 2020)5.0 yrs

Illustrative monthly path, net of fees, modelled to the strategy's since-inception CAGR versus the S&P BSE 500 Total Return Index. Not the actual NAV series; past performance is not indicative of future returns.

Returns

Trailing returns vs benchmark

Absolute for windows under a year, annualised (CAGR) beyond. Alpha is the strategy minus its benchmark.

1M
3M
6M
1Y
3Y
5Y
SI
This strategy
8.2%
-2.5%
-6.8%
-3.4%
15.9%
11.2%
14.9%
S&P BSE 500 Total Return Index
10.4%
-1.7%
-4.3%
3.6%
14.9%
13.9%
18.2%
Alpha
-2.2%
-0.8%
-2.5%
-7%
+1%
-2.7%
-3.3%
Reliability

How often it has beaten the index

Across every rolling holding period in the modelled history — the longer you hold, the more the odds have favoured the strategy.

24%
1-year holding

of 49 windows beat the index

Avg / yr+13.5%
12%
3-year holding

of 25 windows beat the index

Avg / yr+11.0%
0%
5-year holding

of 1 windows beat the index

Avg / yr+14.9%

Computed on an illustrative monthly path modelled to the since-inception CAGR — not the actual NAV series.

Risk

The quality of those returns

Returns mean little without the ride that earned them.

−9.6%
Max drawdown
-5.1%
Worst 1-yr window
16.0%
Volatility (ann.)
-0.58
Sharpe ratio

A Sharpe of -0.58 means it earned a modest return for each unit of risk taken. Size the position so a drawdown of that order is one you can sit through.

Portfolio

Under the hood — where the money sits

Spread across the market-cap curve.

Market-cap mix
  • Cash / Debt100%
Concentration
Holdings
Cash / debt buffer100%

Top holdings and the sector book stream from the live feed — ask Nyra for the current portfolio.

Manager

Who runs the money

A strategy is only as good as the hand on the wheel.

TP
Fund manager
Tridib Pathak
Ocean-Avendus Olivo · 5-yr strategy tenure · ₹306 Cr managed
View full profile
Investment philosophy

Ocean-Avendus Olivo's Multi Cap approach blends valuation discipline with growth conviction, tilting toward whichever side the cycle is paying for. It is benchmarked to the S&P BSE 500 Total Return Index but invests with conviction rather than hugging the index.

Conviction over the index

A focused book of roughly 30–40 holdings means the highest-conviction ideas actually move the portfolio.

Through the cycle

A 5-year track record across rallies and drawdowns — positioning shifts with the cycle rather than chasing the last quarter.

Risk first

Drawdowns are managed deliberately; the worst peak-to-trough on record is kept in check.

Nyra's read

A high-conviction multi cap strategy with a strong scorecard.

Nyra scores Ocean-Avendus Olivo Core Equity Portfolio 8.5/10, on a since-inception CAGR near 14.9% and a 3-year CAGR of 15.9%. Drawdowns have stayed contained — size the position so that ride is one you can hold.

Best suited to

Investors with a 5-year-plus horizon who want active Multi Cap exposure and can sit through equity drawdowns.

Mind if

A double-digit drawdown would test your nerve, or you need ₹50 L+ to commit at the SEBI minimum.

Pairs well with

A steadier core (large-cap or hybrid) so this can play the higher-conviction satellite in your overall allocation.

Facts & fees

The fine print, in plain sight

Inception
Jul 2020
Track record
5 years
Category
Equity: Multi Cap
Style
Blend
Benchmark
S&P BSE 500 Total Return Index
Holdings
Fixed fee
2.00% fixed
Performance fee
Performance-linked
Minimum investment
₹50 L
Lock-in / exit
Nil exit load
Reporting
Monthly + live login
Regulator
SEBI-registered PMS

PMS Sahi Hai is a SEBI-registered platform. Figures are sourced from the strategy's disclosures and the live feed; the growth chart, rolling-window and risk figures are modelled to the disclosed since-inception CAGR (illustrative, not the actual NAV series). Returns are net of fees where stated. Investments in PMS, AIF and GIFT City strategies are subject to market risk — past performance is not indicative of future results. This page is information, not investment advice.

What investors say
I held two PMS for four years and couldn't tell you why. One 15-minute review showed me the overlap, the real post-tax number, and one fund worth replacing. Nobody had ever shown me that math.
Rajesh K.Rajesh K.HNI · Mumbai · ₹3.2 Cr · 2 PMS reviewed

Composite client stories — names changed, numbers preserved.

FAQ

Ocean-Avendus Olivo Core Equity Portfolio — common questions

What is Ocean-Avendus Olivo Core Equity Portfolio?

Ocean-Avendus Olivo Core Equity Portfolio is a Multi Cap PMS strategy from Ocean-Avendus Olivo, managed by Tridib Pathak. It follows a Blend style, is benchmarked to the S&P BSE 500 Total Return Index, and carries a Nyra score of 8.5/10.

Who should consider Ocean-Avendus Olivo Core Equity Portfolio?

It suits investors with a five-year-plus horizon who want active Multi Cap exposure and can stay invested through market drawdowns. The SEBI minimum is ₹50 L.

What returns has it delivered?

Since inception (Jul 2020) it has compounded at roughly 14.9% a year, with a 3-year CAGR of 15.9% against 14.9% for the S&P BSE 500 Total Return Index. Returns are net of fees; past performance is not a guarantee of future results.

What are the fees and lock-in?

2.00% fixed, with a performance fee of Performance-linked. Exit / lock-in terms: Nil exit load.

How risky is it?

Like all market-linked products it can fall in value; the worst drawdown on record is disclosed in the factsheet. Ocean-Avendus Olivo is SEBI-registered and reports monthly. This page is information, not investment advice.

Weigh Ocean-Avendus Olivo Core Equity Portfolio against your goals.

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