Article

A STUDY ON PORTFOLIO MANAGEMENT IN AXIS BANK

Author : Konda Sandhya, Dr. K. Pusha Latha

DOI : http://doi.org/10.63590/jsetms.2025.v02.i07.pp328-339

Portfolio management involves the strategic allocation of financial assets to maximize returns and minimize risks in alignment with the investor`s goals and risk appetite. Axis Bank, one of India`s leading private sectors banks, offers comprehensive portfolio management services (PMS) to highnet-worth individuals (HNIs) and institutional clients through Axis Securities and Axis Asset Management Company. The bank's portfolio management framework focuses on tailored investment solutions, leveraging expert research, dynamic asset allocation strategies, and robust risk management practices. In summary, Axis Bank's portfolio management services aim to deliver superior riskadjusted returns by combining financial expertise, market insights, and customer-centric solutions tailored to individual investment goals.


Full Text Attachment
//