Our breadth of offshore investment funds are backed by rigorous research and analysis from across the Kotak group. This expertise has helped us in identifying key offshore investment arenas over the past few years. We currently offer a wide range of offshore investment funds across:
With a long only outlook, we manage India focussed funds across large capitalization and mid-capitalization biases, a fund without a capitalization bias, a series of concentrated funds and thematic funds (across sectors like infrastructure & realty). We also manage a Shariah-compliant mandate. More
With this strategy, we seek to invest in listed, under-researched mid–market companies in India through secondary markets, PIPE, and IPO using a private equity approach. The investment team seeks to provide active post-investment value-add to investee companies where feasible. More
In the current scenario, the Indian debt market provides an opportunity for offshore investments with various time horizons and risk profiles ranging from short term liquid funds, fixed term funds, to long term debt funds. These products offer differential risk and return options based on the interest rate movements, currency movement and the investment horizon. More