Dezerv
TG

Tejas Gutka

LinkedIn

Fund Manager at Tata Mutual Fund

₹8,756 Cr

AUM

3

Schemes

About Tejas Gutka

Investment professional with a rich mix of debt and equity capital market experience. Managing long-only equity portfolios since 2017. Investment philosophy draws partly from the Phil Fisher school of high quality + long term approach and partly from Howard Marks' business/market cycle approach. Focus first on downside protection and then on upside participation. Resourceful problem solver (having worked for a start-up and built a team/investment process from the ground up) and effective communicator (publish a weekend reading digest and write regular newsletters). Count composure as a strong personal asset, and believe in the power of less is more as far as news/information is concerned. Enjoy reading and photography.

Funds managed by Tejas Gutka

All Funds

Equity

NameExpense RatioExit LoadFund size
1Y
Tata Housing Opportunities Fund Direct Growth

Very High Risk

0.62%1.00%₹657.86 Cr33.9%
Tata Multicap Fund Direct Growth

Very High Risk

0.36%1.00%₹3365.02 Cr28.5%
Tata India Tax Savings Fund Direct Growth

Very High Risk

0.69%-₹4925.84 Cr37.8%

Experience

Fund Manager

company logo

Tata Mutual Fund

Head Of Portfolio Management

company logo

Tata Mutual Fund

Portfolio Manager & Head of Equity

company logo

Tamohara Investment Managers

Head Of Research

company logo

Tamohara Investment Managers

Assistant Vice President - Investment Advisory Services

company logo

Barclays Wealth and Investment Management

Assistant Vice President, Research

company logo

Barclays Wealth and Investment Management

Research Analyst

company logo

Barclays Wealth and Investment Management

Manager

company logo

Credit Analysis & Research Ltd. (CARE Ratings)

Deputy Manager

company logo

Credit Analysis & Research Ltd. (CARE Ratings)

Analyst

company logo

Credit Analysis & Research Ltd. (CARE Ratings)

Education

University of Mumbai, MBA, Finance.

K.J.Somaiya Institute of management studies and research, MMS, Finance.