Building a robust asset management platform and generating consistent risk-adjusted returns for its investors.
Scaling up the organisation into an institution with strong leadership across products, business and geographies.
Our principal objective is capital preservation while generating higher risk adjusted returns.
The core investing strategy rests on our ability to decipher complex situations & structures and evolve simple solutions. The investment strategy is based on value identification, innovative structuring & pricing and extensive diligence.
The asset management strategy relies on our ability to proactively monitor assets & covenants, manage risk and exits in a timely manner.