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Tejas Gutka

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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 Cr30.3%
Tata Multicap Fund Direct Growth

Very High Risk

0.36%1.00%₹3365.02 Cr25.4%
Tata India Tax Savings Fund Direct Growth

Very High Risk

0.69%-₹4925.84 Cr35.0%

Experience

Fund Manager

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Tata Mutual Fund

Head Of Portfolio Management

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Tata Mutual Fund

Portfolio Manager & Head of Equity

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Tamohara Investment Managers

Head Of Research

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Tamohara Investment Managers

Assistant Vice President - Investment Advisory Services

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Barclays Wealth and Investment Management

Assistant Vice President, Research

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Barclays Wealth and Investment Management

Research Analyst

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Barclays Wealth and Investment Management

Manager

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Credit Analysis & Research Ltd. (CARE Ratings)

Deputy Manager

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Credit Analysis & Research Ltd. (CARE Ratings)

Analyst

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Credit Analysis & Research Ltd. (CARE Ratings)

Education

University of Mumbai, MBA, Finance.

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