RAMS Investment Unit Trust (UCITS) - India Equities Portfolio Fund II, is an open-ended umbrella type Irish collective asset management vehicle registered and authorized by the Central Bank of Ireland.
Equity UCITS Strategy
India Equities Portfolio Fund II : [Sub-Fund] is a flexi-cap strategy that aims to provide large cap stability in various economic cycles while keeping strategic exposure to Mid and Small cap space for potential alpha generation.
Launch Date: March 2016
Domicile Fund: Ireland
Benchmark: MSCI India
Liquidity: Subscription Daily, Redemption Daily subject to the provisions relating to suspension of redemptions.
Emergent India Investments Limited
Fund Type: Emergent India Investments Ltd (Fund) is a public company with limited liability incorporated as an open-ended multi-class fund under the laws of the Republic of Mauritius.
Domicile Fund: Mauritius
Investment Focus: Long Only strategy, equity and equity related securities in India
Benchmark: MSCI India Index
Liquidity: Subscription Daily, Redemption Daily subject to the provisions relating to suspension of redemptions.
RAMS Investment Unit Trust (UCITS) - India Fixed income fund, is an open-ended umbrella type Irish collective asset management vehicle registered and authorized by the Central Bank of Ireland.
Fixed Income UCITS Strategy
India Fixed Income fund: [ Sub-Fund ] may be suitable for those investors with medium to long term horizon who wish to gain exposure to Indian debt markets and who recognize the risk of investing in single emerging market country and who can tolerate the degree of volatility of returns typical of such an investment.
Launch Date: December 2018
Domicile Fund: Ireland
Liquidity: Subscription Daily, Redemption Daily subject to the provisions relating to suspension of redemptions.
Fixed Maturity Plans
As per the requirement fixed maturity plans or FMPs can be set-up pertaining to the desired investment horizon. Nippon Life India Asset Management (Singapore) Pte. Ltd. has the experience and expertise in managing such plans for various international investors both instituional and retail.
ETF Fixed-Income strategy replicates the JP Morgan FAR Bond Index which consists of only Government of India securities thus compromising of no corporate or credit exposure. This strategy may be suitable for those investors with medium to long term horizon who wish to gain exposure to Indian sovereign debt markets and who recognize the risk of investing in single emerging market country.
Alternative Investment strategies pertaining to Indian Real Estate and various Fund of Fund strategies can be set-up. Thus, completing the entire set of offerings at Nippon Life India Asset Management (Singapore) Pte. Ltd.