
Omni Institutional – Grade Portfolio Construction for Large Investors
A multi-asset PMS built for family offices, institutional investors, and ultra-high-net-worth individuals seeking stability, diversification, and long-term alpha.
Cross-Asset Allocation | High Safety Foundation | Institutional-Grade Research
What Omni Institutional Is?
Omni Institutional is designed for large investors who require disciplined, institutional-grade portfolio construction with controlled risk, multi-asset diversification, and consistent long-term outcomes. It serves as a stable anchor allocation within complex or high-value portfolios.

For investors who want:
A multi-asset PMS built for stability and professional governance.
Exposure to Indian equities, global assets, commodities, and fixed income.
A scientific, safety-first framework applied across asset classes.
A reliable portfolio foundation for long-term wealth preservation and growth.
How Omni Institutional Generates Alpha
The Multi-Asset and Safety Engine
Omni Institutional creates alpha by blending high quality Indian equities with select global, commodity, and fixed-income exposures. The goal is to provide stable, risk-adjusted compounding supported by a strong safety-first foundation.
Just as well-engineered infrastructure supports heavy load while remaining stable, Omni Institutional uses structural diversification and strict risk controls to deliver long-term high performance with reduced volatility.

Safety Foundation
A scientific framework that eliminates fragile or over-leveraged positions across asset classes through rigorous balance-sheet assessment, macro analysis, and risk modeling.

Yield
Stable income from fixed-income and high-cash-flow assets provides a dependable base layer of returns.

Growth
Measured exposure to high quality Indian and global equities aligned with long-term structural growth vectors.

Re-rating
Selective identification of undervalued businesses or assets positioned for valuation expansion as fundamentals improve or market cycles normalize.
Omni Institutional Strategies
Omni SuperInvest
Equity-heavy, institutional-grade PMS designed to capture India’s long-term equity growth with strong safety filters and disciplined allocation.
Omni India Inc
Investing in India’s leading businesses through a portfolio of large, liquid and fundamentally strong companies at the forefront of the country’s economic growth.

A Research Framework Built to Identify and Compound Growth Vectors
Omni Institutional applies Omniscience’s mature, data-driven research process to construct resilient portfolios across asset classes, ensuring stability in volatile environments and discipline in complex allocations.

FAQS
Who is Omni Institutional best suited for?
Family offices, institutional investors, and large individual portfolios requiring multi-asset stability and professional-grade research.
What makes Omni Institutional different from traditional PMS offerings?
It integrates cross-asset allocation, global exposure, commodities, and fixed income within a scientific risk-managed framework.
Is Omni Institutional designed for larger ticket sizes?
Yes. It is built for investors who manage significant capital and need disciplined, governance-focused portfolio structures.
What is the ideal investment horizon?
Five years and above for stable, risk-adjusted compounding.
Does Omni Institutional reduce volatility?
Yes. Cross-asset diversification and safety-first filters aim to reduce volatility while maintaining long-term return potential.
Is it a high churn PMS?
No. It follows a low churn, high conviction, long-term allocation approach.