Asset management company

Unconstrained by benchmarks.
Unlimited by construct.

IIFL Asset Management offers uniquely structured products to cover diverse investment requirements of investors. Our mutual fund portfolio is concentrated on a few, high-quality, high-conviction stocks. This allows our fund managers to maintain focus and generate improved risk-adjusted returns.

Having pioneered the concept of benchmark-agnostic funds in India, our fund managers function in an unconstrained but research-oriented manner. While traditional asset management companies are constrained by benchmarks, our benchmark-agnostic approach enables us to pick stocks with flexibility and tap into unique multi-baggers of the future.

Our mutual fund offerings are uniquely structured and positioned as leaders in their respective niche areas. Concentrated picks and the freedom from benchmarking constraints have helped us generate significant alpha for our investors.