Renaissance Investment Managers Pvt Ltd – Portfolio Management Services (PMS)

Renaissance is a specialized equity investment management firm established in 2016. The firm boasts extensive industry knowledge and a highly experienced founding team. With a professional staff exceeding 70 individuals and operations spanning six cities, Renaissance leverages a combined 140+ years of cumulative experience within its senior management team, marked by a distinguished record of achievements in the equities domain. The firm's core activities encompass the management of equity assets through Portfolio Management Services (PMS), Alternative Investment Funds (AIF), and advisory mandates, including international fund offerings. Renaissance currently manages and advises on assets totaling approximately ₹3700 crore. The investment philosophy is centered on achieving superior risk-adjusted returns, driven by a proprietary framework known as "Sustainable Quality Growth at a Reasonable Price" (SQGARP)™.

AUM (₹ Cr)

1957.56

Clients

2410

Strategies

4

As On

31 December 2025

Investment Strategies & Performance

Portfolio Management Services (PMS)

Renaissance Investment Managers Pvt Ltd Portfolio Management Services (PMS) - Performance Returns
Strategy Category 1Y 3Y 5Y Inception
Midcap Portfolio Mid Cap -1.93% 16.18% 19.43% Jan 2018
Opportunities Portfolio Large Cap 1.64% 17.20% 19.28% Jan 2018
Indianext Portfolio Multi Cap & Flexi Cap 0.45% 19.78% 28.58% Apr 2018

Past performance is not indicative of future results. Returns are subject to market risks.

Alternative Investment Funds (AIF)

Renaissance Investment Managers Pvt Ltd Alternative Investment Funds (AIF) - Performance Returns
Strategy Category 1Y 3Y 5Y Inception

India Next Fund III

Multi Cap & Flexi Cap 1.22% Aug 2023

AIF investments carry market risks. Please read scheme documents carefully.

Portfolio Managers & Fund Management Team

Mr Pankaj Murarka

Fund Manager

Pankaj Murarka is the Founder of Renaissance Investment Managers, an Alternate Investment Manager established in 2016. Mr. Murarka brings over two decades of extensive experience in equity research and fund management, distinguished by a consistent record of high performance throughout his professional journey. Prior to establishing Renaissance Investment Managers, Mr. Murarka served as the Chief Investment Officer (CIO) at Axis Mutual Fund for approximately ten years. In this capacity, he oversaw Indian equity portfolios exceeding \$5 billion. He was a key member of the founding team that launched Axis Mutual Fund in 2009, contributing significantly to its growth into a leading Asset Management Company (AMC) in India, driven by exceptional investment outcomes. He held responsibility for the performance of all equity mutual funds managed by Axis AMC. During his tenure as CIO, Axis AMC received the "Best Equity Fund House of the Year" award from Outlook Money in 2014. Further accolades include Mr. Murarka being recognized as "Best Fund Manager - Runner Up" by Outlook Money in 2014 for his management of the Axis Midcap Fund. This fund achieved a Compound Annual Growth Rate (CAGR) of 24% between 2011 and 2015, substantially outperforming its benchmark and ranking within the top decile in 2012 and 2013. In 2014, it was the number one performing mutual fund in India across all categories on a three-year basis. The Axis Small Cap Fund, also managed by him, was the top-performing small-cap fund in 2014, delivering returns of 84.3%. Other notable funds under his management included the Axis Equity Fund, Axis Focused 25 Fund, and the SISF- India Opportunities Fund. In 2015, Outlook Money acknowledged Mr. Murarka as a "Leading Fund Manager" for his consistent performance record over five years. Mr. Murarka also held the position of India Portfolio Manager for the Strategic Investment Group at Merrill Lynch. He managed both Long Only and Long Short Funds, which demonstrated robust performance, notably during the Global Financial Crisis of 2008. Earlier in his career, Mr. Murarka was part of the setup team at Rare Enterprises, the investment office of Rakesh Jhunjhunwala. During his tenure, he played a pivotal role in executing several successful investments for the firm, generating significant returns. He also represented the firm's interests on the boards of various companies, providing guidance on capital allocation strategies. His professional background also includes experience with Motilal Oswal and UTI AMC in his early years. Across his career spanning over 25 years in public markets, Mr. Murarka has consistently delivered superior risk-adjusted returns by adhering to the investment philosophy of SQGARPTM (Sustainable Quality Growth at a Reasonable Price). He has also been instrumental in the execution of various PIPE (Private Investment in Public Equity) and Private Equity transactions. Pankaj Murarka is a Chartered Accountant, having achieved an all-India merit rank upon qualifying from the ICAI. Outside of his professional activities, he is an avid marathoner, having completed 12 half marathons and 2 ultra-half marathons/endurathons.

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Regulatory Information

SEBI Registration: INP000005455

Registered Office: Office No. 710, 7th Floor, C Wing, Mittal Commercia Premises CHS Ltd., Off. M.V. Road. Near Mittal Estate, Marol, Andheri (East), Mumbai- 400059

Disclaimer

This page is provided solely for general informational purposes in relation to the strategy and is based on publicly available information. While reasonable care has been taken to ensure accuracy, the information may not reflect the most recent updates.

Nothing on this page constitutes investment, financial, or legal advice, nor should it be considered a recommendation. Investment decisions should be made after consulting a qualified advisor and reviewing official scheme documents.

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Last Updated: December 2025 · Published by Affluense AI (affluense.ai)