Perfil
Ashish Naik is currently Fund Manager of Equity at Axis Asset Management Co. Ltd. since 2018, with employment at the firm starting in 2009.
Formerly, Mr. Naik worked as a Research Analyst at Goldman Sachs (India) Securities Pvt Ltd. Education includes an undergraduate degree from the University of Mumbai and an MBA from Xavier School of Management.
Cargos activos de Ashish Naik
| Empresas | Cargo | Inicio |
|---|---|---|
Axis Asset Management Co. Ltd.
Axis Asset Management Co. Ltd. Investment ManagersFinance Axis AMC has investment capabilities covering equity, fixed income, real estate and multi-asset solutions. The firm utilizes a bottom-up approach to construct portfolios while adhering to top-down risk parameters, liquidity profiles and volatility targets. Decisions are driven by extensive macroeconomic and company research. | Gestor de Cartera-Acciones | 01/04/2016 |
Antiguos cargos conocidos de Ashish Naik.
| Empresas | Cargo | Fin |
|---|---|---|
Goldman Sachs (India) Securities Pvt Ltd.
Goldman Sachs (India) Securities Pvt Ltd. Investment Banks/BrokersFinance Provides brokerage services | Analyst-Equity | - |
Formación de Ashish Naik.
Experiencias
Funciones ocupadas
Activas
Inactivas
Empresas cotizadas
Empresas privadas
Relaciones
Relaciones de 1er grado
Empresas vinculadas al 1er grado
Hombre
Mujer
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Ejecutivos
Empresas relacionadas
| Empresas privadas | 4 |
|---|---|
University of Mumbai
University of Mumbai Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Xavier School of Management
Xavier School of Management Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Goldman Sachs (India) Securities Pvt Ltd.
Goldman Sachs (India) Securities Pvt Ltd. Investment Banks/BrokersFinance Provides brokerage services | Finance |
Axis Asset Management Co. Ltd.
Axis Asset Management Co. Ltd. Investment ManagersFinance Axis AMC has investment capabilities covering equity, fixed income, real estate and multi-asset solutions. The firm utilizes a bottom-up approach to construct portfolios while adhering to top-down risk parameters, liquidity profiles and volatility targets. Decisions are driven by extensive macroeconomic and company research. | Finance |
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