Profile
Mr. Pradeep Kumar, CFA, is a Senior Portfolio Manager at Enam Asset Management Co. Pvt Ltd. He has a total of 23 years of industry experience.
Prior to joining Enam AMC he has worked with organisations like Harbor Bridge Capital Management LP, Kotak Mahindra Ltd., Religare AMC Pvt.
Ltd., ABN Amro AMC India Ltd., and DBS Cholamandalam AMC Ltd.
He has a Master’s degree in Finance from Sydenham Institute of Management Studies, Mumbai.
Pradeep Kumar active positions
| Companies | Position | Start |
|---|---|---|
Enam Asset Management Co. Pvt Ltd.
Enam Asset Management Co. Pvt Ltd. Investment ManagersFinance Enam AMC aims to create sustainable solutions to grow their client’s wealth in the long-term. The firm’s investment team follows a rigorous investment framework to identify investible ideas that are then shortlisted to create a high-quality and high-conviction portfolio. The team incorporates their best strategies to generate long-term risk-adjusted returns, with a bottom-up approach. | Portfolio Manager-Equities | 31/01/2015 |
Former positions of Pradeep Kumar
| Companies | Position | End |
|---|---|---|
| KOTAK MAHINDRA MUTUAL FUND - KOTAK NIFTY 200 MOMENTUM 30 ETF | Portfolio Manager-Equities | 31/12/2013 |
Religare Asset Management Co. Pvt Ltd.
Religare Asset Management Co. Pvt Ltd. Investment ManagersFinance RAMC has a long-term investment outlook with an investment objective centered on generating capital appreciation for the investor. They seek to deliver a degree of capital appreciation generating superior performance above the equity class benchmark. They look for market inefficiencies. RAMC's employs a bottom-up equity investment approach. Through an open matrix framework, they analyze companies' fundamentals. Their equity team provides a majority of the research and input and they also draw on external sources The firm's fixed income asset investment philosophy revolves around safety, liquidity and consistency. RAMC's investment objectives are to build high quality portfolios and aim for consistently strong results. | Portfolio Manager-Equities | 07/11/2010 |
Fortis Investment Management (India) Pvt Ltd.
Fortis Investment Management (India) Pvt Ltd. FIM-India is an active GARP-oriented investor. They manage portfolios invested in firms expected to outperform over the medium- to long-term. The firm combines their parent firm's global expertise with their knowledge of local markets. The investment process follows three main steps: a general market screening process, a top-down approach to identify sectors and stocks for in-depth analysis and fundamental company valuation. Research is key in the firm's investment and decision-making processes. They blend bottom-up fundamental company and sector analysis with top-down macroeconomic research in order to implement a structured investment process. Value is added primarily through fundamental analysis as well as tactical asset allocation. | Portfolio Manager-Equities | 31/05/2008 |
DBS Cholamandalam Asset Management Ltd.
DBS Cholamandalam Asset Management Ltd. Investment ManagersFinance Provides asset management services | Portfolio Manager-Equities | 20/11/2006 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 5 |
|---|---|
Kotak Mahindra Asset Management Co. Ltd.
Kotak Mahindra Asset Management Co. Ltd. Investment ManagersFinance KMAMC’s portfolio management services include equity and fixed-income solutions. For equities, they offer a special situations value portfolio which seeks to invest in value opportunities and special situations in individual stocks and related instruments which are trading at a discount to their intrinsic value. For fixed-income, the firm seeks to invest in companies with strong fundamentals and cash flow and a mix of PSU and Private Issuer fixed-income instruments. KMAMC invests through their mutual funds in equity funds, fixed-income funds, balanced funds, ETFs and fund of funds. | Finance |
DBS Cholamandalam Asset Management Ltd.
DBS Cholamandalam Asset Management Ltd. Investment ManagersFinance Provides asset management services | Finance |
Religare Asset Management Co. Pvt Ltd.
Religare Asset Management Co. Pvt Ltd. Investment ManagersFinance RAMC has a long-term investment outlook with an investment objective centered on generating capital appreciation for the investor. They seek to deliver a degree of capital appreciation generating superior performance above the equity class benchmark. They look for market inefficiencies. RAMC's employs a bottom-up equity investment approach. Through an open matrix framework, they analyze companies' fundamentals. Their equity team provides a majority of the research and input and they also draw on external sources The firm's fixed income asset investment philosophy revolves around safety, liquidity and consistency. RAMC's investment objectives are to build high quality portfolios and aim for consistently strong results. | Finance |
Fortis Investment Management (India) Pvt Ltd.
Fortis Investment Management (India) Pvt Ltd. FIM-India is an active GARP-oriented investor. They manage portfolios invested in firms expected to outperform over the medium- to long-term. The firm combines their parent firm's global expertise with their knowledge of local markets. The investment process follows three main steps: a general market screening process, a top-down approach to identify sectors and stocks for in-depth analysis and fundamental company valuation. Research is key in the firm's investment and decision-making processes. They blend bottom-up fundamental company and sector analysis with top-down macroeconomic research in order to implement a structured investment process. Value is added primarily through fundamental analysis as well as tactical asset allocation. | |
Enam Asset Management Co. Pvt Ltd.
Enam Asset Management Co. Pvt Ltd. Investment ManagersFinance Enam AMC aims to create sustainable solutions to grow their client’s wealth in the long-term. The firm’s investment team follows a rigorous investment framework to identify investible ideas that are then shortlisted to create a high-quality and high-conviction portfolio. The team incorporates their best strategies to generate long-term risk-adjusted returns, with a bottom-up approach. | Finance |
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