
NJ Asset Management Pvt Ltd
NJ Asset Management Pvt Ltd runs 3 strategies on our shelf at NJ — graded on the same seven pillars as every other manager we track.
About NJ Asset Management Pvt Ltd
NJ Asset Management Pvt Ltd manages 3 strategies at NJ, spanning 3 PMS. Across the strategies PMS Sahi Hai tracks, NJ oversees ₹18 Cr with an average Nyra Score of 8.3.
The tracked book spans 3 PMS strategies, and its strongest three-year run is +21.3% CAGR on NJ - Multicap. PMS mandates here typically start at a ₹50 lakh minimum, held in your own demat account with a SEBI-registered manager.
Every strategy is graded on the same seven pillars — returns, risk, manager tenure, fees, concentration, transparency and AUM fit — so NJ's record can be read side by side against any other manager on the platform.
Investment philosophy — a value discipline
Across the 3 strategies PMS Sahi Hai tracks, NJ's portfolios share a value approach — here is the shape of it.
Value at the core
Buys solid businesses for less than they are worth and waits for the gap to close.
High conviction
Focused books rather than a closet-index sprawl — the strongest ideas actually move the needle.
Through the cycle
A 10-year track record across rallies and drawdowns informs how positions are sized.
Risk-aware
Drawdowns are managed deliberately rather than chased — capital preservation comes first.
Strategies run by NJ Asset Management Pvt Ltd
How NJ's strategies have performed
Trailing returns — annualised (CAGR) beyond one year, net of fees.
| Strategy | 1Y | 3Y | 5Y | SI | Max DD | Nyra |
|---|---|---|---|---|---|---|
NJ - Multicap Equity: Multi Cap · ₹8 Cr | +7.7% | +21.3% | +18.1% | +13.9% | — | 8.6 |
NJ - Dynamic ETF Allocation Portfolio Aggressive Other: ETFs · ₹9 Cr | +13.4% | +11.6% | +9.1% | +8.7% | — | 8.3 |
NJ - Bluechip Equity: Multi Cap · ₹1 Cr | +1.3% | +11.5% | +9.9% | +11.9% | — | 8.1 |
Returns up to 1 year are absolute; beyond 1 year are annualised (CAGR), net of fees, as of the latest available factsheet. Max DD = worst peak-to-trough drawdown. Past performance is not indicative of future returns.
A strong, consistent operator.
NJ's tracked strategies average 8.3 on the Nyra scale across ₹18 Cr, primarily at NJ. Read the pillar-by-pillar breakdown on each strategy before you commit, and talk to Nyra about where it fits your existing portfolio.
NJ Asset Management Pvt Ltd — FAQ
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Biographical details are drawn from public sources; strategy returns come from the latest available factsheets and may carry different as-on dates. PMS & AIF investments are subject to market risks; past performance is not indicative of future returns. PMS Sahi Hai is an independent marketplace and is not affiliated with NJ Asset Management Pvt Ltd or NJ. This is not investment advice.