Profil
Mahesh Chhabria is currently Head of Index Funds & Fixed Income at HSBC Asset Management (India) Pvt Ltd. since 2024.
Mr. Chhabria is also Fund Manager-CDMDF at SBI Funds Management Ltd. since 2017.
Former roles include Assistant Fund Manager at FIL Fund Management Pvt Ltd. and Fund Manager at L&T Investment Management Ltd. from 2012 to 2014.
Postes actifs de Mahesh Chhabria
| Sociétés | Poste | Début |
|---|---|---|
HSBC Asset Management (India) Pvt Ltd.
HSBC Asset Management (India) Pvt Ltd. Investment ManagersFinance HSBC AM-India is an active, long-term manager which seeks to invest in companies they believe have sustainable business growth and which are trading at a substantial discount to their intrinsic value. The firm adopts a blend of value and growth strategies for stock picking and utilizes a bottom-up approach. HSBC AM-India constructs portfolios primarily following a buy-and-hold strategy. They may hedge portfolios to protect potential downside utilizing F&O and effective use of cash. Their investment decisions are process-driven and involve fund managers and sector specialists. For fixed-income portfolios, HSBC AM-India adapts the HSBC Global Investment Process for Asset Management, monitoring duration, credit, curve positioning and security selection. They employ a combination top-down, bottom-up approach applying the top-down perspective to duration and credit and the bottom-up perspective to curve positioning and security selection. | Gestionnaire de Portefeuille-Actions | 25/11/2022 |
Anciens postes connus de Mahesh Chhabria
| Sociétés | Poste | Fin |
|---|---|---|
L&T Investment Management Ltd.
L&T Investment Management Ltd. Investment ManagersFinance L&T IM is a conservative, active investor which manages portfolios invested across market caps in equity, fixed-income and money market instruments. The firm offers a range of diversified and sector specific equity funds, debt funds, asset allocation funds and monthly income funds. Their equity investment strategy follows a bottom-up stock picking approach based on fundamental analysis, tempered by top-down macroeconomic analysis to control risk through diversification. They invest in both value and growth stocks with a medium- to long-term outlook. Their fundamental research process emphasizes an enduring business model, management quality, business fundamentals and valuation. | Portfolio Manager-Fixed Income | - |
FIL Fund Management Pvt Ltd.
FIL Fund Management Pvt Ltd. Financial ConglomeratesFinance FIL FM's investment philosophy is the same as Fidelity's global approach, which is based on bottom-up stockpicking and focuses on fundamental research. Research is the backbone of their investment process and the firm has a team of analysts in Mumbai to cover the Indian stock market, assisted by Fidelity's global team of analysts. To assess investment opportunities FIL FM concentrates on the strengths and fundamentals of companies, their industry sectors and the countries or markets in which they do business. Each investment is hand-picked and backed by Fidelity's global research capability as well as by a company visit. The firm manages portfolios invested in equity, fixed-income and money-market instruments, across sectors and market caps, with the bulk of investments in Indian securities. Among others, they manage a fund focused on special situations and an international opportunities fund focused on the Asia Pacific region including India. As a fixed-income manager FIL FM invests in corporate bonds, government bonds, and other fixed-income securities. | Gestionnaire de Portefeuille-Actions | 24/11/2012 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 3 |
|---|---|
HSBC Asset Management (India) Pvt Ltd.
HSBC Asset Management (India) Pvt Ltd. Investment ManagersFinance HSBC AM-India is an active, long-term manager which seeks to invest in companies they believe have sustainable business growth and which are trading at a substantial discount to their intrinsic value. The firm adopts a blend of value and growth strategies for stock picking and utilizes a bottom-up approach. HSBC AM-India constructs portfolios primarily following a buy-and-hold strategy. They may hedge portfolios to protect potential downside utilizing F&O and effective use of cash. Their investment decisions are process-driven and involve fund managers and sector specialists. For fixed-income portfolios, HSBC AM-India adapts the HSBC Global Investment Process for Asset Management, monitoring duration, credit, curve positioning and security selection. They employ a combination top-down, bottom-up approach applying the top-down perspective to duration and credit and the bottom-up perspective to curve positioning and security selection. | Finance |
FIL Fund Management Pvt Ltd.
FIL Fund Management Pvt Ltd. Financial ConglomeratesFinance FIL FM's investment philosophy is the same as Fidelity's global approach, which is based on bottom-up stockpicking and focuses on fundamental research. Research is the backbone of their investment process and the firm has a team of analysts in Mumbai to cover the Indian stock market, assisted by Fidelity's global team of analysts. To assess investment opportunities FIL FM concentrates on the strengths and fundamentals of companies, their industry sectors and the countries or markets in which they do business. Each investment is hand-picked and backed by Fidelity's global research capability as well as by a company visit. The firm manages portfolios invested in equity, fixed-income and money-market instruments, across sectors and market caps, with the bulk of investments in Indian securities. Among others, they manage a fund focused on special situations and an international opportunities fund focused on the Asia Pacific region including India. As a fixed-income manager FIL FM invests in corporate bonds, government bonds, and other fixed-income securities. | Finance |
L&T Investment Management Ltd.
L&T Investment Management Ltd. Investment ManagersFinance L&T IM is a conservative, active investor which manages portfolios invested across market caps in equity, fixed-income and money market instruments. The firm offers a range of diversified and sector specific equity funds, debt funds, asset allocation funds and monthly income funds. Their equity investment strategy follows a bottom-up stock picking approach based on fundamental analysis, tempered by top-down macroeconomic analysis to control risk through diversification. They invest in both value and growth stocks with a medium- to long-term outlook. Their fundamental research process emphasizes an enduring business model, management quality, business fundamentals and valuation. | Finance |
















