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Jamil Ansari

Jamil Ansari LinkedIn

Head of Research & Fund Manager at Bajaj Life Insurance Limited (Managing Since: Apr 2019)

₹24,124.7 Cr
AUM(As on Jul 2026)
20 Years
Experience
17
Funds Managed
Mr. Jamil Ansari has over 20 years of experience in Investment management with last 7 years in Bajaj Life. Prior to which he was associated with Aviva Life Insurance, Daiwa Asset Management, Nomura Securities, Lehman Brothers amongst others. Jamil is a post-graduate with a MMS-Finance degree from Jamnalal Bajaj Institute of Management Studies and holds CFA charter. He is associated with Bajaj life since Apr 2019 and currently manages 0 funds.
Funds Managed
Fund Name AUM (₹ Cr) 1Y Return 3Y Return 5Y Return
Equity Plus Pension Fund ₹19.3 Cr -3.49% 5.95% 8.31%
Equity Plus Fund ₹518.2 Cr -2.08% 6.71% 8.65%
Pure Stock Fund ₹7,411.3 Cr -1.33% 10.73% 10.11%
Pure Equity Fund ₹43.4 Cr 1.80% 11.53% 11.00%
Flexi Cap Fund ₹3,799.6 Cr 0.59% 10.30% -
Equity Gain Fund ₹311.0 Cr -3.36% 5.27% 7.07%
Pure Stock Pension Fund ₹8.7 Cr -2.48% 8.44% 7.26%
Sustainable Equity Fund ₹370.6 Cr 0.66% 11.01% -
Equity Growth Fund II ₹4,156.5 Cr -1.40% 6.93% 8.86%
Equity Growth Pension Fund ₹43.2 Cr -3.45% 6.31% 8.58%
Premier Equity Gain Fund ₹21.3 Cr -3.91% 5.06% 7.22%
Equity Growth Fund ₹2,289.2 Cr -1.78% 6.73% 8.60%
Pure Stock Fund II ₹4,736.8 Cr -1.74% 9.92% 9.62%
Premier Equity Growth Fund ₹5.9 Cr -1.34% 5.80% 7.46%
Opportunities Fund ₹184.9 Cr - - -
Pure Stock Pension Fund II ₹25.1 Cr - - -
India Consumption Fund ₹179.7 Cr - - -
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