Process Over Prediction.
Discipline Over Impulse.
ArthaSanchay Growth Fund is a Mumbai-based AIF Category III fund founded on the principle that consistent, risk-aware investing — anchored in fundamental research and operational discipline — is the most reliable path to long-term capital appreciation in Indian equity markets. We do not predict markets; we prepare for them.
What We Believe
India's capital markets present a compelling opportunity set — but capturing it requires more than conviction alone. It requires a repeatable process, disciplined risk controls, and the intellectual honesty to separate noise from signal.
ArthaSanchay was built on the belief that sustainable wealth creation comes from investing in businesses with strong balance sheets, consistent operating cash flows, superior competitive positioning, and management teams that allocate capital prudently. We evaluate cashflows and balance sheets, not just earnings — because growth without financial controls is fragile.
Our mandate is clear: pursue risk-adjusted returns through methodical research and portfolio discipline, while treating capital preservation as a non-negotiable priority at every stage of the investment lifecycle.
What We Look For
Philosophy & Foundation
Established with a clear mandate: build a process-driven investment platform that prioritises capital preservation alongside long-term wealth creation.
Regulatory & Infrastructure
Registered with SEBI under AIF Category III. Institutional infrastructure — custodian, auditor, compliance framework — established to institutional standards.
Capital Deployment
Investment operations initiated across core strategies with rigorous risk controls operational from day one. Every rupee deployed through the same process framework.
Disciplined Scaling
Expanding the investor base while protecting process integrity. Growth in AUM will always remain secondary to the quality of our investment decisions.
Principles That Guide Us
Transparency
We communicate with candour — reporting performance honestly, disclosing risks clearly, and never overstating outcomes. Trust is earned through consistency, not marketing.
Process Discipline
Every investment thesis is built through a structured framework: financial modelling, risk assessment, and independent review — before a single rupee is deployed.
Capital Stewardship
We treat investor capital with the same care as our own. Meaningful co-investment by the fund manager ensures permanent alignment of interests.
Continuous Improvement
Markets evolve. We respect uncertainty, study our mistakes, and refine our process iteratively — because complacency is the greatest risk of all.
Fund Management
Led by an experienced professional with deep expertise across Indian equity markets, fundamental research, and portfolio construction.

Prashant Somani
Fund Manager
Prashant brings over 15 years of experience across equity research, portfolio management, and capital markets. His investment approach is grounded in fundamental analysis, balance sheet discipline, and a deep understanding of business models across sectors. He leads the fund's investment process, portfolio construction, and risk management framework.