Aditya Birla Sun Life AMC Limited

Kunal Sangoi Fund Manager

Investment Team

Mr. Kunal Sangoi is a Fund Manager and Senior Analyst with Aditya Birla Sun Life AMC Limited (ABSLAMC). Kunal comes with an experience of 16 years in capital markets, in the areas of equity research and portfolio management. At ABSLAMC, he is responsible for manging select equity funds as per the given mandate and specialises in the Technology, Internet, Media and Telecom sectors.


He has been with ABSLAMC since 2012, and was previously associated with Edelweiss Financial Services Ltd. in its Institutional Equity Research team as Senior Analyst.


Kunal is a Chartered Accountant by qualification.

Roles & Responsibilities with respect to Risk Management Roles & Responsibilities with respect to Risk Management
Sn
Particulars
1
Manage investment risk of managed scheme(s). i.e., market risk, liquidity risk, credit risk and other scheme specific risks within approved limits
2
Ensure adherence to relevant SEBI guidelines in respect of RMF and relevant principles thereunder including risk identification, risk management, reporting and corrective actions etc., SID, internal & Regulatory limits
3
Ensure adherence of applicable provisions of Mutual Funds Regulations including Code of Conduct per Schedule V B
4
Adhere to the risk appetite framework of the schemes to maintain appropriate risk level for schemes.
5
Suggest / provide inputs on changes required to risk appetite to the CIO
6
Recommend reduction/ change in the risk level of the schemes within the Potential Risk Class (PRC) with the approval of CIO
7
Report identified risk, risk related events and corrective actions plans to the CIO
8
Measure risks in accordance with the approved internal policy and risk metric
9
Periodic analysis of bulk trades and block deals of large values
10
Analysis and evaluation of ratings received from multiple credit rating agencies for securities across portfolios and take necessary actions
11
Ensure disclosures made to clients are consistent with investments and holdings
12
Manage and monitor investments in schemes by conducting –
  • Quantitative risk analysis
  • Analysis of concentration limits
13
Ensure adherence to the framework for inter-scheme transfers and perform due diligence at the time of buying securities through inter-scheme transfers.
14
Ensure maintenance of all relevant documents and disclosures with regard to debt and money market instruments before finalizing the deal
15
Take corrective action for deviations, if required, as per the approved Delegation of Power (DoP) and escalate major risk related event to CIO.
16
Responsible for daily management of investment risk of managed scheme(s) such as market Risk, liquidity Risk, credit risk and other scheme specific risks and appropriate risk reporting of any risk related event to CIO.