Credent Asset Management and Group Frameworks have formally transitioned to AMPL Asset Management.

AMPLAsset Management
Portfolio Management products

Discretionary mandates. Fundamentally underwritten.

AMPL PMS portfolios are constructed through deep fundamental analysis and aggregate risk mitigation across cycles. Each strategy combines bottom-up business quality filters with macro-level corridor analysis to balance capital preservation against asymmetric upside capture.

Mandate Philosophy

Portfolios are built around business quality, valuation discipline, and risk control.

Each PMS strategy combines bottom-up fundamental research with macro awareness to create concentrated, governance-led portfolios that can endure changing cycles without losing sight of capital preservation.

Investor suitability

The strategies are designed for investors seeking customised portfolio construction, transparent reporting, and a long-horizon approach to wealth creation.

Execution discipline

We pair a clear investment thesis with audited operational controls, valuation protocols, and a formal risk-management framework.

01Diversified Equity & Debt

AMPL Asset Management products PMS

A cycle-tested diversified mandate blending equity and debt exposure to compound capital across market regimes. Positions are constructed on capital-efficiency filters and cash-flow durability.

  • Cross-asset diversification
  • Cycle-neutral construction
  • Capital-preservation bias
02Top-Down + Bottom-Up

AMPL AIM Multi Cap Strategy

Dual-lens strategy fusing top-down macro signals with bottom-up stock selection. Filters emphasise high ROCE, scalable TAM, and identifiable business turnarounds.

  • Macro corridor overlay
  • High-ROCE screen
  • Turnaround identification
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03High Conviction · Concentrated

Mehta-AMPL Focused Multicap Strategy

A high-conviction, concentrated multi-cap strategy built on a hybrid investment architecture linking sector policy tailwinds to primary equity underwriting.

  • Concentrated conviction book
  • Policy-tailwind alignment
  • Primary underwriting DNA
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04Multi-Asset · Launched 07 Apr 2026

Fincart Direct Mutual Fund Strategic Portfolio

A custom direct-plan-only strategic allocation eliminating yield drag and distribution layers. Balances domestic equity, international corridors, fixed income, gold, and tactical arbitrage.

  • Direct-plan-only structure
  • Multi-asset strategic allocation
  • Tactical arbitrage sleeve
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Speak to our PMS coverage desk.

Strategy fact sheets and performance disclosures are shared with qualified investors.

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