| Name | Qualification / Brief Experience |
Mr. Vikash Raj (Chief Executive Officer) |
Qualification B.Sc. (Physics), MBA Finance, CFPtm-Over 11 years of experience in the investment industry. Brief Experience His last assignment was with Citibank N.A. as Head-Investment Research in the consumer banking division. He has also worked with rating agencies like CRISIL and ICRA formulating models and analytics for rating rankings of mutual funds. He was involved in development of financial planning tools. |
Mr. Rajendra Mishra |
Qualification Completed his Engineering from NIT Jamshedpur and MBA from IIM Lucknow. Over 9 years of work experience including over 6 years in the investment industry. Brief Experience In his last assignment he was in Proprietary Equity Group,IDFC Limited where he was designated as Vice President. He had an overall responsibility of analyzing investment opportunities, closing transactions and monitoring & monetizing portfolio. Prior to IDFC he worked with JP Morgan in India as a Research Analyst. |
Mr. Sanjay Lakra (Head–Legal Compliance) |
Qualification PDGM, B. Com - about 14 years of experience in Legal, Compliance Secretarial. Brief Experience In his last assignment with DSP Merrill Lynch, he was responsible for Branch Administration for the Wealth Management Business during the period November 2006 – February 2009. Prior to this, he worked with Dawnay Day Financial Services as Head – Legal Compliance (November 2005 to October 2006). He has also worked with JM Financial Asset Management Private Limited as Head – Legal Compliance for the period November 2001 to October 2005; with HCL Perot Systems as Business Analyst (March 2001 – November 2001) and with Securities Exchange Board of India during the period (May 1994 – March 2001). |
Ms. Jyothi Krishnan (Compliance Officer) |
Qualification A. C. S., B.G.L., B. Com - about 6 years of experience in Compliance, Risk Management, Secretarial, etc. Brief Experience In her last assignment with ING Investment Management (I) Private. Limited, she was designated as VP – Compliance Risk (April 2005 – February 2009). Prior to this, she was with Standard Chartered Asset Management Company Private Limited as an Officer Management Trainee (June 2003-April 2005). |