Compare · 430+ PMS · 1,400+ AIFs

Every PMS in India. All the returns. Side by side.

We've put every SEBI-registered PMS on one page. See how each one has actually performed — over 1 month, 3 months, 6 months, 1 year, 3 years, 5 years, and since it started. Pick any 2–4 to compare them side by side.

Category
6 options
Style
4 options
Sort by
7 options
Showing 12 of 430+ strategies · sorted by Best 3-Year Returns · pick 2–4 to compare

Consistent Compounders

Marcellus · Multi Cap · Growth
9.4Nyra
3Y CAGR
+22.1%
1M
2.1%
3M
5.4%
6M
8.2%
1Y
18.3%
3Y
22.1%
5Y
19.4%
SI
21.8%
Worst fall 18.2%AUM ₹14,200 Cr

Indian Entrepreneur Portfolio

ASK · Multi Cap · Growth
9.1Nyra
3Y CAGR
+21.4%
1M
1.8%
3M
4.9%
6M
7.6%
1Y
16.8%
3Y
21.4%
5Y
18.9%
SI
20.2%
Worst fall 19.4%AUM ₹11,800 Cr

NTDOP

Motilal Oswal · Mid & Small · Growth
8.8Nyra
3Y CAGR
+19.8%
1M
3.2%
3M
6.8%
6M
11.4%
1Y
24.1%
3Y
19.8%
5Y
17.6%
SI
18.4%
Worst fall 28.5%AUM ₹8,400 Cr

All Cap

Abakkus · Multi Cap · Value
8.3Nyra
3Y CAGR
+18.7%
1M
2.9%
3M
5.8%
6M
8.9%
1Y
19.5%
3Y
18.7%
5Y
17.4%
SI
16.9%
Worst fall 22.7%AUM ₹4,800 Cr

India Rising

Helios · Multi Cap · Blend
8.6Nyra
3Y CAGR
+18.4%
1M
2.4%
3M
5.1%
6M
9%
1Y
20.2%
3Y
18.4%
5Y
16.8%
SI
17.2%
Worst fall 21.3%AUM ₹6,200 Cr

SISOP

Sundaram · Mid Cap · Growth
7.9Nyra
3Y CAGR
+18.2%
1M
2.6%
3M
6.1%
6M
10.2%
1Y
21.8%
3Y
18.2%
5Y
16.4%
SI
15.9%
Worst fall 26.3%AUM ₹2,800 Cr

India Pioneers Equity

WhiteOak · Large Cap · Blend
8.5Nyra
3Y CAGR
+17.9%
1M
1.6%
3M
4.3%
6M
7.1%
1Y
15.4%
3Y
17.9%
5Y
16.2%
SI
15.8%
Worst fall 16.8%AUM ₹5,100 Cr

Special Situations

Kotak · Thematic · Value
8Nyra
3Y CAGR
+17.6%
1M
2.7%
3M
5.5%
6M
9.4%
1Y
22.1%
3Y
17.6%
5Y
16.1%
SI
15.4%
Worst fall 24.1%AUM ₹3,200 Cr

Leaders of Tomorrow

Alchemy · Mid & Small · Growth
7.7Nyra
3Y CAGR
+17.4%
1M
3.4%
3M
7.2%
6M
12.1%
1Y
25.4%
3Y
17.4%
5Y
15.8%
SI
16.2%
Worst fall 29.8%AUM ₹2,100 Cr

Opportunities

Buoyant · Multi Cap · Value
7.6Nyra
3Y CAGR
+16.9%
1M
2.2%
3M
4.8%
6M
7.9%
1Y
17.4%
3Y
16.9%
5Y
15.2%
SI
14.7%
Worst fall 20.5%AUM ₹1,800 Cr

Large Cap Strategy

ICICI Prudential · Large Cap · Blend
8.2Nyra
3Y CAGR
+16.5%
1M
1.4%
3M
3.9%
6M
6.4%
1Y
14.2%
3Y
16.5%
5Y
14.8%
SI
14.1%
Worst fall 15.4%AUM ₹9,300 Cr

Value Quest

Negen · Mid Cap · Value
7.4Nyra
3Y CAGR
+16.2%
1M
2.1%
3M
4.5%
6M
8.1%
1Y
18.9%
3Y
16.2%
5Y
14.6%
SI
14%
Worst fall 25.7%AUM ₹1,400 Cr
Nyra Scorecard

7 pillars. One composite score.

The lower-scoring strategy on Risk wears larger drawdowns to chase higher CAGRs. Every pillar visible, none hidden. If you're optimising for capital preservation, pick A. If you want growth at any drawdown, pick B.

01
Returns
All 7 periods, peer-normalised
02
Risk
Drawdown, volatility, beta
03
Manager Tenure
Years at the helm
04
Fee Structure
Trail · performance · catch-up
05
Concentration
Top-10 weight, sector tilt
06
Transparency
Factsheet depth + cadence
07
Age & AUM
Vintage + scalability
What you walk away with

A decision. Not data.

A decision, not data

Backed by Nyra Score — the 7-pillar composite designed to rank what matters, not just CAGRs.

All 7 returns visible at once

1M · 3M · 6M · 1Y · 3Y · 5Y · SI on every card, color-coded by intensity. No toggling, no clicking.

A shareable record

One URL captures the comparison — strategies, Nyra Scores, verdict. Send to your spouse, CA, or RM.

A score handoff

When shortlisted, 'Score this against my portfolio' pre-fills /score with comparison + Nyra Score targets.

Full fund breakdown

See what a complete fund deep-dive actually looks like.

Manager bio, performance vs benchmark, holdings, sector mix, fee structure, risk metrics, eligibility, onboarding, net returns after fees + tax, attribution analysis — all in one page.

Manager bio + tenurevs Benchmark CAGRTop 5 holdingsSector + mcap splitRisk & drawdown metricsFee structure tableEligibility check3-step onboardingNet returns illustrationAttribution analysis
Mid & Small Cap

Abakkus Emerging Opportunities

Abakkus · Aman Chowhan · 5 yrs
8.5Nyra
1Y
+7.3%
3Y
+21.4%
5Y
+20.2%
SI
+26.7%
Top holdings
1PNB Housing Finance
2Sarda Energy
3Federal Bank
+ 31 more · sector split inside
Open full breakdown
Common scenarios

Where most investors actually start.

Picking my first PMS

Filter to top-quartile large-caps. Sort by Nyra Score. Pick 3 to compare on risk + fee.

Auditing one I own

Find your strategy. Select it + 2 peers in same category. See where yours stands on the 7 pillars.

Compare by goal

Capital preservation · compounding · cash-flow-3-years — each pre-applies category + period combo.

NRI: domestic vs IFSC

Compare a domestic PMS with its GIFT-City IFSC twin (Marcellus has both).

Common questions

Six things you'll ask before committing.

Honest answers. No fine print. If yours isn't here, ask us directly.

Ask us directly

Each return cell is colour-coded by intensity relative to peers in the visible set. Deeper green = stronger return for that period across the strategies on screen. Coral = negative return. White-tinted = neutral or near-zero.

Found the 3 you like? Take it further.

Score them against your portfolio, ask Nyra for a verdict, or save & share the comparison.

All actions free. No card. APMI-registered.

Regulatory disclosure

Data sourced from SEBI-filed monthly factsheets. Operated by Nyra Capital Partners Consultancy Pvt Ltd · APMI Registered (APRN08358).

All compensation is all-trail, disclosed before any account opening. Past performance is not indicative of future returns. Minimum investment ₹50,00,000 as mandated by SEBI.

Nyra Score and sort order are computational outputs, not investment recommendations under SEBI (IA) Regulations 2013.

Last updated 17 May 2026.

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