Now accepting early registrations

AI-Powered Funds.
Smarter Returns.

Kartexa AMC is India's next-generation AI-driven asset management company. Our proprietary models continuously analyse macro signals, sector momentum, and risk-adjusted opportunities — so your money works harder, intelligently.

5+
Fund categories
24/7
AI monitoring
₹500cr+
Target AUM year 1

🎯 Join the Waitlist

Get early access and priority onboarding when we launch.

Please enter your full name.
Please enter a valid email address.
Please select a fund.
Please select an investment range.

By registering, you agree that this is an expression of interest only and does not constitute an investment commitment. SEBI registration pending.

Investing, reimagined
with intelligence.

🧠

Neural Portfolio Engine

Our AI models analyse 200+ market signals in real-time, dynamically rebalancing allocations to optimise risk-adjusted returns.

📊

Transparent Analytics

Live dashboards show exactly how your money is allocated, what the AI is doing, and why — no black boxes.

🔒

Bank-Grade Security

256-bit encryption, multi-factor auth, and regulatory-compliant custody ensure your assets are always protected.

Instant Onboarding

Digital KYC, paperless account opening, and same-day fund activation when we go live.

📱

Mobile-First Experience

Manage your portfolio, track NAV, and get AI-generated insights from your phone, anytime.

🌱

ESG Integration

Every fund screens for environmental, social, and governance criteria — invest with impact.

From waitlist to wealth
in four steps.

01

Join

Reserve your spot on the waitlist. Share your investment appetite and preferred fund.

02

Verify

Complete digital KYC — Aadhaar, PAN, and bank linkage in under 5 minutes.

03

Invest

Fund your account and let our AI allocate across your chosen category.

04

Grow

Monitor AI-driven decisions, receive monthly reports, withdraw anytime.

Strategies for every
risk appetite.

Equity
Equity Growth Fund

Targets mid-to-large cap companies with strong momentum scores.

18.4%
Target CAGR
High
Risk
Hybrid
Balanced Advantage Fund

Dynamically shifts between equity and debt based on AI valuation models.

13.1%
Target CAGR
Medium
Risk
Index
Nifty 50 Index Fund

Passive index tracking with minimal expense ratio and AI-optimised rebalancing.

14.2%
Target CAGR
Low
Risk
Debt
Debt Income Fund

High-quality corporate bonds and G-Secs for stable, predictable income.

8.9%
Target CAGR
Low
Risk
Equity
Small Cap Alpha Fund

AI screens 1000+ small-cap stocks for hidden compounders with high conviction.

24.7%
Target CAGR
High
Risk

Be among the first 500 investors.

Early waitlist members receive zero entry load for the first year and priority access to all fund categories.