In the evolving landscape of India's economy, we are the pioneers of change and innovation. Established as the nation's leading Alternate Asset company, Kotak Alternate Asset Managers Limited (KAAML) boasts a distinguished 20-year legacy.
In 2005, to bring about a sharper focus to this business, Kotak Alternate Asset Managers Limited was set up as the Group’s Alternate Assets practice with its first structured third party private equity and real estate funds.
At Kotak Bespoke Investment Advisory, we excel in designing investment strategies closely attuned to the financial aspirations of our discerning clientele.
Gain valuable insights into current market trends, investment opportunities, and challenges with our expert perspectives.
Elevating Aspirations. Fuelling India's success.
Kotak Private Credit Fund positions itself at the heart of India's economic progress, providing bespoke debt solutions designed to strengthen robust businesses. Armed with profound industry knowledge, the fund ignites business ambition and fosters innovation, generating superior risk-adjusted returns for marquee investors.
With three decades of legacy, we are at the forefront of India's investment landscape, offering bespoke financing solutions for medium-term business needs. Our deal structuring boosts value creation and utilizes strong cash flows, bridging the gap created by traditional lenders' focus on low-yield portfolios. As India's premier private credit manager, our strategic focus on local markets affirms our position as pioneers in investment innovation.
We provide secure financing for companies with equity values above $500 million and mid-market firms boasting EBITDA greater than $10 million across listed and unlisted sectors. Our sector-agnostic portfolio encompasses acquisition, promoter financing, mezzanine, growth capital, and bridge financing.
Leveraging the extensive network and insight of the Kotak Group, we are adept at identifying and understanding growth trends across businesses. Further, our proficiency in navigating regulatory landscapes equips us to swiftly provide flexible working capital solutions, a crucial benefit to business owners in the rapidly evolving market landscape.
Central to our strategy is clear foresight on exit strategies, ensuring that each investment incorporates a well-defined path to achieving desired outcomes. This reflects our commitment to risk mitigation and value maximization. Our team comprises highly experienced professionals dedicated to delivering exceptional results.
Our approach ensures each investment has a well-defined exit strategy, emphasizing risk mitigation and value maximization. Combined with our proprietary selection framework, it enables us to align with the right promoters and sectors experiencing strong tailwinds. This strategy underpins our mission to deliver unparalleled value and foster sustainable growth. Guided by seasoned professionals at the helm, leveraging cross-functional capabilities, we achieve optimal results through a comprehensive investment strategy.
We've secured funding from our investors through multiple distinct funds to invest in businesses with high potential. Current strategies from where we are investing:
Agnostic except real estate
8 to 12
Mid caps with at least USD 10 million in EBITDA or large groups with at least USD 500 million in equity value