
Ramesh Rachuri brings in over 14 years of experience across markets ranging from forex, equity derivatives and quant, to the entire panoply of debt sub markets ranging from g-secs to credit and structured products. Post his PGDM from IIM, Indore, he worked with Securities Trading Corporation of India Ltd, Reliance Mutual Fund and Reliance PMS, and BOI AXA Mutual Fund. He has demonstrated excellence in operationalizing new verticals while scaling them up into sustainable & profitable operations. A particular focus has been to incorporate quantitative techniques in fund management, and fund strategy to extract value from size and trading environmental changes.
Aries is a debt PMS strategy with the objective of earning higher risk adjusted returns by taking exposure in debt securities in India. It targets the intermediate yield space (ratings between AA and BBB) using a buy-to hold approach with a 2 to 3-year horizon.
Aries is a debt PMS strategy with the objective of earning higher risk adjusted returns by taking exposure in debt securities in India. It targets the intermediate yield space (ratings between AA and BBB) using a buy-to hold approach with a 2 to 3-year horizon.







