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Motilal Oswal Multifactor Equity Strategy

Motilal Oswal Asset Management Company Limited - Portfolio Managers

61.24 CR AUM

Motilal Oswal Multifactor Equity Strategy

Motilal Oswal Multifactor Equity Strategy

Motilal Oswal Asset Management Company Limited - Portfolio Managers

61.24 CR AUM

BSE 500 TRI
Benchmark
5yr 0mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
BSE 500 TRI
Benchmark
5yr 0mo
Age
EQUITY
Strategy
NIL
Fixed Fees
NIL
Variable Fees
NIL
Exit Load
Fund manager

bijon pani

Fund Manager
EQUITYStrategies

Bijon Pani with 12+ years' global and Indian quant investment experience, leads AIF/PMS strategies & research. Past roles include NJ AMC, IDFC AMC, Barclays capital. and Eden financials. Holds a Ph.D. in Finance (factor investing) from EDHEC, France, MS in Finance from London Business school, MSc in Computer Science from Oxford

Bijon Pani with 12+ years' global and Indian quant investment experience, leads AIF/PMS strategies & research. Past roles include NJ AMC, IDFC AMC, Barclays capital. and Eden financials. Holds a Ph.D. in Finance (factor investing) from EDHEC, France, MS in Finance from London Business school, MSc in Computer Science from Oxford
Fund manager

prateek agrawal

Fund Manager
EQUITYStrategies

Mr. Prateek Agrawal is the Executive Director at Motilal Oswal AMC. Previously, he was the Business Head & CIO of ASK Investment Managers Ltd. He works closely with clients and channel partners and provides strategic direction to fund managers and research teams. He holds over 27 years of experience in capital markets with a long distinguished sell side research, investment banking and advisory experience which has been a great asset on the buyside. Prior to ASK Group, he was associated with SBI Capital Markets as Head of Research and headed equities at ABN Amro and Bharti Axa AMCs. He was part of the team involved with the privatisation of VSNL and handled Hindustan Zinc for Vedanta Group.

Mr. Prateek Agrawal is the Executive Director at Motilal Oswal AMC. Previously, he was the Business Head & CIO of ASK Investment Managers Ltd. He works closely with clients and channel partners and provides strategic direction to fund managers and research teams. He holds over 27 years of experience in capital markets with a long distinguished sell side research, investment banking and advisory experience which has been a great asset on the buyside. Prior to ASK Group, he was associated with SBI Capital Markets as Head of Research and headed equities at ABN Amro and Bharti Axa AMCs. He was part of the team involved with the privatisation of VSNL and handled Hindustan Zinc for Vedanta Group.
1OF2

Purpose

The Strategy aims to deliver superior returns by investing in stocks selected on the principles of factor-based investing. It seeks to achieve this objective by investing in stocks across the market capitalization spectrum that have a proven track record of profitable operations for sustained periods of time and are reasonably valued and have favourable market momentum.

Investment Approach v/s Benchmark Metrics

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1M IA return
6.62%
1M benchmark return
10.38%
Alpha
-3.76%
1M Wealth multiple
1.07x

Investment Approach v/s Benchmark Performance

2026
2026
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Login to see the live performance and return

Wealth Creation Calculator

1M IA return
6.62%
1M benchmark return
10.38%
Alpha
-3.76%
1M Wealth multiple
1.07x

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