Mansi Sajeja
Fund Manager at SBI · 17 years in the industry
Mansi Sajeja is named on 3 schemes at SBI. Of the 3 ranked with a three-year record, 3-year CAGR runs from 14.2% (SBI MULTI ASSET ALLOCATION FUND - Direct Plan - Growth) down to 7.2% (SBI SHORT TERM FUND - Direct Plan - Growth), across Multi Asset Allocation, Conservative Hybrid Fund, Short Duration Fund. Returns are computed from AMFI NAV history and are net of expenses; the roles and dates come from SBI's SEBI filings.
Background
- Qualifications
- Post Graduate Diploma in Business Management, CFA
- Experience
- Mansi Sajeja joined SBIFML in September 2009 as Credit Analyst. Prior to joining SBIFML, Mansi was Rating Analyst at ICRA Limited from March 2006 to September 2009. Mansi also manages, SBI Conservative Hybrid Fund (Debt portion), SBI Multi Asset Allocation Fund (Debt portion), SBI Equity Savings Fund (debt portion), SBI Balanced Advantage Fund (debt portion), SBI Short Term Debt Fund (Co-Fund Manager).
Funds Mansi Sajeja manages
3Ranked by 3Y CAGR. Schemes without a three-year record yet are not listed. Open a fund for NAV history, rolling returns, risk metrics and peer rank.
| 1 | SBI Multi Asset Allocation Fund | ★★★☆☆ | +7.2% | +14.2% | +12.8% | 0.68% | ₹17,976Cr |
| 2 | SBI Conservative Hybrid Fund | ★★★★☆ | +4.2% | +8.2% | +8.4% | 0.99% | ₹9,722Cr |
| 3 | SBI Short Term Fund | ★★★☆☆ | +4.9% | +7.2% | +6.4% | 0.42% | — |
NAV data as of 05 Oct 2026. Role, qualifications and tenure are disclosures from SBI’s Scheme Information Documents and Statement of Additional Information — SEBI filings, not our assessment of anyone. Returns are computed from AMFI NAV history; see our methodology. A fund’s performance is not attributable to one person, and nothing here is investment advice.