Structural, Sustainable Growth
7.0%
FY26 GDP Growth Forecast
Highest among large economies
Source: UBSFor institutional allocators, India represents a combination of scale, resilience, and pricing inefficiencies, offering the potential for sustained, long-term, uncorrelated returns in a structurally growing market.
of MSCI ACWI
Under-represented despite contributing ~3% to global GDP and market cap
Source: Morgan StanleyCAGR in the number of billion-dollar
companies in 20 years (market cap)
Source: Morgan StanleyEnhance your global portfolio and access one of the world’s fastest-growing large economies with a disciplined, institutional-grade approach to Indian public equities and fixed income.
Fund Manager: Vinit Sambre
The investment objective is to achieve long term capital appreciation from a portfolio that is substantially constituted of equity and equity related securities of mid cap and small cap companies.
Fund Advisor: Gaurav Pant
India Absolute Return Fund’s primary investment objective is to maximize long term risk-adjusted returns through the use of a long and/or short only equity strategy from a portfolio that is substantially constituted of equity securities.
Fund Advisor: Rohit Singhania
Lorem ipsum dolor sit amet, consectetuer adipiscing elit, sed diam nonummy nibh euismod tincidunt ut laoreet dolore magna aliquam erat volutpat. Ut wisi enim ad minim veniam, quis nostrud exerci tation ullamcorper suscipit lobortis nisl ut aliquip ex ea commodo consequat. Duis autem vel eum iriure dolor in hendrerit.
Advisor: Lorem Ipsum
Lorem ipsum dolor sit amet, consectetuer adipiscing elit, sed diam nonummy nibh euismod tincidunt ut laoreet dolore magna aliquam erat volutpat. Ut wisi enim ad minim veniam, quis nostrud exerci tation ullamcorper suscipit lobortis nisl ut aliquip ex ea commodo consequat. Duis autem vel eum iriure dolor in hendrerit.

For over 160 years, DSP has been a trusted institutional partner providing disciplined access to India’s evolving equity and debt markets. Our approach combines proprietary research, deep market relationships, and robust ESG and risk management frameworks..