
Mohit Khanna
Mohit Khanna runs 4 strategies on our shelf at PGIM India — graded on the same seven pillars as every other manager we track.
About Mohit Khanna
Mohit Khanna manages 4 strategies at PGIM India and other houses, spanning 4 PMS. Across the strategies PMS Sahi Hai tracks, Mohit oversees ₹203 Cr with an average Nyra Score of 4.8.
The tracked book spans 4 PMS strategies, and its strongest three-year run is +10.8% CAGR on PGIM India - Phoenix Portfolio. PMS mandates here typically start at a ₹50 lakh minimum, held in your own demat account with a SEBI-registered manager.
Every strategy is graded on the same seven pillars — returns, risk, manager tenure, fees, concentration, transparency and AUM fit — so Mohit's record can be read side by side against any other manager on the platform.
Investment philosophy — a blend discipline
Across the 4 strategies PMS Sahi Hai tracks, Mohit's portfolios share a blend approach — here is the shape of it.
Blend at the core
Blends valuation discipline with growth conviction, leaning where the cycle pays.
High conviction
Focused books rather than a closet-index sprawl — the strongest ideas actually move the needle.
Through the cycle
A 13-year track record across rallies and drawdowns informs how positions are sized.
Risk-aware
Drawdowns are managed deliberately rather than chased — capital preservation comes first.
Strategies run by Mohit Khanna
PGIM India - Phoenix Portfolio
Purnartha One Strategy
PGIM India - Core Equity Portfolio
PGIM India Equity Portfolio
How Mohit's strategies have performed
Trailing returns — annualised (CAGR) beyond one year, net of fees.
| Strategy | 1Y | 3Y | 5Y | SI | Max DD | Nyra |
|---|---|---|---|---|---|---|
PGIM India - Phoenix Portfolio Equity: Mid & Small Cap · ₹61 Cr | -4.6% | +10.8% | +13.2% | +12.4% | — | 5.0 |
Purnartha One Strategy Multi Asset · ₹15 Cr | +4.7% | — | — | +8.7% | — | 5.0 |
PGIM India - Core Equity Portfolio Equity: Multi Cap · ₹104 Cr | -2.7% | +6.9% | +11.5% | +13.9% | — | 4.6 |
PGIM India Equity Portfolio Thematic · ₹23 Cr | -10.5% | +7% | — | +9.5% | — | 4.5 |
Returns up to 1 year are absolute; beyond 1 year are annualised (CAGR), net of fees, as of the latest available factsheet. Max DD = worst peak-to-trough drawdown. Past performance is not indicative of future returns.
A solid manager worth a closer look.
Mohit's tracked strategies average 4.8 on the Nyra scale across ₹203 Cr, primarily at PGIM India. Read the pillar-by-pillar breakdown on each strategy before you commit, and talk to Nyra about where it fits your existing portfolio.
Mohit Khanna — FAQ
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Biographical details are drawn from public sources; strategy returns come from the latest available factsheets and may carry different as-on dates. PMS & AIF investments are subject to market risks; past performance is not indicative of future returns. PMS Sahi Hai is an independent marketplace and is not affiliated with Mohit Khanna or PGIM India. This is not investment advice.