Fund Manager
Rakshit Ranjan
Portfolio Manager (Consistent Compounders)
Overview
Rakshit Ranjan, portfolio manager (consistent compounders), manages 1 PMS strategy at Marcellus Investment Managers in our database, across Large Cap. 20+ years in equity research and portfolio management. Previously associated with Ambit Capital, Nomura, Lloyds Bank / Execution Noble. Their Consistent Compounders Portfolio (CCP) strategy has a three-year annualised return of +6.68%. Concentrated, clean-accounting compounders held for the long term.
Profile
- Experience
- 20+ years in equity research and portfolio management
- Education
- B.Tech, IIT Delhi; CFA
- Previous firms
- Ambit Capital · Nomura · Lloyds Bank / Execution Noble
- Investment philosophy
- Concentrated, clean-accounting compounders held for the long term.
Strategies managed
| Strategy | Category | 1Y | 3Y CAGR | 5Y CAGR |
|---|---|---|---|---|
| Consistent Compounders Portfolio (CCP) | Large Cap | +4.93% | +6.68% | +3.46% |
Frequently asked questions
Which company does Rakshit Ranjan work for?
Rakshit Ranjan is Portfolio Manager (Consistent Compounders) at Marcellus Investment Managers.
Which strategies does Rakshit Ranjan manage?
Rakshit Ranjan manages Consistent Compounders Portfolio (CCP) — listed with returns in the table on this page.
What is the track record of strategies run by Rakshit Ranjan?
Among the strategies we track that they manage, Consistent Compounders Portfolio (CCP) has the strongest three-year annualised return at +6.68% (as of 31 August 2026). Past performance is not indicative of future results.