Roha Asset Managers


Roha Asset Managers

KEY PORTFOLIO ATTRIBUTES #

Year of Inception 31/10/2020
Number of Stocks -
Alpha (1Y) 10.41%
Beta (1Y) 0.81

About Roha Asset Managers

Roha Asset Managers is a forward-looking, SEBI-registered Portfolio Management Services (PMS) provider committed to delivering high-performance investment strategies for long-term wealth creation. With deep expertise in identifying undervalued opportunities in India’s small-cap and mid-cap ecosystem, Roha leverages bottom-up fundamental research and sectoral megatrends. The firm is backed by the Roha Group’s legacy and is mentored by industry stalwarts, ensuring innovation and trust at every stage of portfolio management.

Portfolio Managers

Mr. Mahesh Tibrewala
Mahesh Tibrewala Managing Director
Mr. Dhiraj Sachdev
Mr. Dhiraj Sachdev Chief Investment Officer, Roha Venture Firm
Rajdeep Singh
Rajdeep Singh Portfolio Manager

Investment Objective (RECP)

The Roha Emerging Champions Portfolio (RECP) aims to generate long-term capital appreciation by investing in high-potential small-cap and mid-cap listed Indian companies. The Roha’s strategy focuses on businesses with strong cash flows, capital efficiency, scalability, and enduring competitive advantages—positioning them to become tomorrow’s industry leaders.

Investment Philosophy (RECP)

Roha believes in superior stock selection, early identification of scalable businesses, and a thoughtful investment approach. The focus lies on companies with robust fundamentals, strong management, and high-growth potential in under-researched segments. Roha’s philosophy integrates quality, valuation discipline, and margin of safety to unlock alpha returns over time.

 “An emerging champion is a business with sustainable growth and the ability to compound wealth over years.”

Investment Strategy (RECP)

RECP is an open-ended, sector-diversified equity portfolio targeting structural multi-year growth. The strategy lays significant emphasis on:

  • Business quality: Management integrity, capital efficiency, consistent cash flows
  • Sectoral tailwinds: Undervalued yet growing industries
  • Valuation comfort: Attractive entry points with margin of safety

The portfolio benchmark is BSE 500, ensuring broad market alignment.

Roha RAM Strategy (Rural, Ancillary, Manufacturing)

Roha’s RAM Strategy capitalizes on India’s structural transformation in rural consumption, ancillary industries, and manufacturing. It invests in themes such as:

  • Rural upliftment: Agro, irrigation, microfinance, housing, consumer goods
  • Ancillary ecosystem: EVs, renewables, waste management, automation
  • Urban demand: Luxury spending, travel, ecommerce
  • Domestic manufacturing: Chemicals, capital goods, electronics under PLI schemes

Performance Table #


Trailing Returns (%) 1m return 3m return 6m return 1y return 2y return 3y return 5y return 10y return Since inception return
Roha Asset Managers Emerging Champions Portfolio-0.26%-3.84%-13.09%-4.45%31.22%19.85%33.33%
BSE 500 TRI-

QRC Report Card *




VIEW DETAILED QUALITY, RISK, CONSISTENCY ANALYSIS

Portfolio Holdings


Holding %

Sector Allocation


Holding %

Market Cap Allocation


Allocations %
Large Cap 5
Mid Cap 20
Small Cap 75
Cash

Do Not Simply Invest, Make Informed Decisions

WISH TO MAKE INFORMED INVESTMENTS FOR LONG TERM WEALTH CREATION

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Disclaimer

#Returns as of 30 Apr 2025. Returns up to 1 Year are absolute, above 1 Year are CAGR.

*QRC Report Card data is updated quarterly. Current data is as of Dec 24.


Do Not Simply Invest, Make Informed Decisions

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