Profile
Gauri Sekaria is currently Vice President at Goldman Sachs Asset Management LP since 2022, with employment at the firm starting in 2019.
Former roles include Executive Director of Investments at Goldman Sachs Asset Management (India) Pvt Ltd., Assistant Vice President at Benchmark Asset Management Co. Pvt Ltd. from 2005 to 2011, and Fund Manager at DSP Finance Pvt Ltd. from 2017 to 2019.
Education includes graduate studies at The University of Reading and undergraduate studies at Management of Mount Carmel Institute.
Gauri Sekaria active positions
| Companies | Position | Start |
|---|---|---|
Goldman Sachs Asset Management LP
Goldman Sachs Asset Management LP Investment ManagersFinance GSMALP offers a wide array of investment strategies that span asset classes, industries, and geographies. The firm's products and services across a full range of asset classes including fixed income, money markets, public and private equity, commodities, hedge funds, and real estate. Clients access these solutions through GSAM's proprietary strategies, strategic partnerships, and open architecture programs. | Portfolio Manager-Equities | 01/08/2019 |
Former positions of Gauri Sekaria
| Companies | Position | End |
|---|---|---|
DSP Asset Managers Pvt. Ltd.
DSP Asset Managers Pvt. Ltd. Investment ManagersFinance DSP Finance is an active, growth-oriented manager which invests in Indian equity and debt across market caps. The firm aims to achieve consistent, long-term results through a research-based, methodical approach to investing. The investment team concentrates on rigorous fundamental and quantitative management that seeks to achieve the best balance between risk and opportunity. They offer a range of fixed-income products for a variety of risk/return profiles. Their equity investment philosophy combines focused portfolio management, proprietary research and significant group resources. | Portfolio Manager-Equities | 01/07/2019 |
Benchmark Asset Management Co. Pvt Ltd.
Benchmark Asset Management Co. Pvt Ltd. Investment ManagersFinance BAM engages in both active and passive portfolio management. The firm invests in primarily invests in equity, fixed-income, money-markets and derivatives, with the bulk of investments in Indian securities. BAM specializes in quantitative management using computer models to analyze and transform available financial information. The firm also manages alternative products designed to achieve absolute performance by using derivative instruments. As a passive investor BAM designs and manages ETFs, which aim to replicate as closely as possible benchmarks such as the S&P CNX Nifty Index, the CNX Nifty Junior Index, or the CNX Bank Index. | Portfolio Manager-Equities | 13/07/2011 |
Goldman Sachs Asset Management (India) Pvt Ltd.
Goldman Sachs Asset Management (India) Pvt Ltd. Investment ManagersFinance GSAM India is an active manager which invests through their funds in fixed-income, money markets, public equity, commodities, hedge funds, private equity and real estate. The firm leverages their industry expertise to provide in-depth investment analysis, strategic portfolio recommendations and customized solutions for clients. They integrate risk management into their investment culture. The risk management infrastructure within portfolio teams and is complemented by independent control and operational support at the firm level. | Portfolio Manager-Equities | - |
Training of Gauri Sekaria
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 6 |
|---|---|
Goldman Sachs Asset Management LP
Goldman Sachs Asset Management LP Investment ManagersFinance GSMALP offers a wide array of investment strategies that span asset classes, industries, and geographies. The firm's products and services across a full range of asset classes including fixed income, money markets, public and private equity, commodities, hedge funds, and real estate. Clients access these solutions through GSAM's proprietary strategies, strategic partnerships, and open architecture programs. | Finance |
Benchmark Asset Management Co. Pvt Ltd.
Benchmark Asset Management Co. Pvt Ltd. Investment ManagersFinance BAM engages in both active and passive portfolio management. The firm invests in primarily invests in equity, fixed-income, money-markets and derivatives, with the bulk of investments in Indian securities. BAM specializes in quantitative management using computer models to analyze and transform available financial information. The firm also manages alternative products designed to achieve absolute performance by using derivative instruments. As a passive investor BAM designs and manages ETFs, which aim to replicate as closely as possible benchmarks such as the S&P CNX Nifty Index, the CNX Nifty Junior Index, or the CNX Bank Index. | Finance |
DSP Asset Managers Pvt. Ltd.
DSP Asset Managers Pvt. Ltd. Investment ManagersFinance DSP Finance is an active, growth-oriented manager which invests in Indian equity and debt across market caps. The firm aims to achieve consistent, long-term results through a research-based, methodical approach to investing. The investment team concentrates on rigorous fundamental and quantitative management that seeks to achieve the best balance between risk and opportunity. They offer a range of fixed-income products for a variety of risk/return profiles. Their equity investment philosophy combines focused portfolio management, proprietary research and significant group resources. | Finance |
The University of Reading
The University of Reading Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Goldman Sachs Asset Management (India) Pvt Ltd.
Goldman Sachs Asset Management (India) Pvt Ltd. Investment ManagersFinance GSAM India is an active manager which invests through their funds in fixed-income, money markets, public equity, commodities, hedge funds, private equity and real estate. The firm leverages their industry expertise to provide in-depth investment analysis, strategic portfolio recommendations and customized solutions for clients. They integrate risk management into their investment culture. The risk management infrastructure within portfolio teams and is complemented by independent control and operational support at the firm level. | Finance |
Management of Mount Carmel Institute
Management of Mount Carmel Institute Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
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