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Submission: On August 24 via api from US — Scanned from FR
Submission: On August 24 via api from US — Scanned from FR
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Text Content
Skip to content * About Us * What we do * Mosaic Approach * Our Team * Our Strengths * Differentiated Approach * Pillars of Investing * Academia * Contact Menu * About Us * What we do * Mosaic Approach * Our Team * Our Strengths * Differentiated Approach * Pillars of Investing * Academia * Contact * About Us * What we do * Mosaic Approach * Our Team * Our Strengths * Differentiated Approach * Pillars of Investing * Academia * Contact Menu * About Us * What we do * Mosaic Approach * Our Team * Our Strengths * Differentiated Approach * Pillars of Investing * Academia * Contact INVEST WITH MOSAIC BRINGING TOGETHER SUPER SPECIALISTS TEAMS TO DELIVER HIGH VALUE & STRONG PROTECTION FOR INVESTORS. request a call back MOSAIC’S FIRST FUND OFFERING Mosaic’s first fund offering, Multiyield Fund – Series I, is a performing credit fund – investing in performing companies with no incipient stress or recent history of stress. ARE YOU A FIXED INCOME INVESTOR? Performing Credit Funds will likely deliver substantially better returns than short-term bond funds or fixed deposits. Current macro conditions and corporate balance sheets are providing favourable conditions for such funds. ARE YOU AN EQUITY INVESTOR? At current valuation, equity is very expensive and may deliver below average returns over 3-5 years. The risk premiums available on performing credit funds are comparable to those of equities. THE MOSAIC APPROACH We aim to build a unique asset management franchise by bringing together multiple specialist teams to actively manage diversified credit funds. The name “Mosaic” reflects our approach of combining diverse, uncorrelated credit assets to achieve higher returns per unit of risk. OUR LEADERSHIP TEAM COLLECTIVELY WE HAVE A VERY RICH EXPERIENCE OF MANAGING CREDIT CYCLES OVER TWO DECADES NAVIGATING MULTIPLE DOWN CYCLES ACROSS SECTORS, TAKING REMEDIAL ACTIONS TO EXIT RISKS FROM OUR PORTFOLIOS. A. DHANANJAY Chief Risk Officer R. GOPI KRISHNA MD & CIO - Structured Finance ASHWINI KUMAR HOODA MD & CIO - Real Estate MANEESH DANGI MD & CEO AJAY SRINIVASAN Chief Mentor & Board Advisor A. DHANANJAY Chief Risk Officer R. GOPI KRISHNA MD & CIO - Structured Finance ASHWINI KUMAR HOODA MD & CIO - Real Estate MANEESH DANGI MD & CEO AJAY SRINIVASAN Chief Mentor & Board Advisor A. DHANANJAY Chief Risk Officer OUR STRENGTHS PRIVATE MARKET EXPERIENCE Deep knowledge of the Indian promoter Developer ecosystem, excelling in deal sourcing and structuring. PUBLIC MARKET EXPERIENCE Proficiency in policy, macro trends, cross markets dynamics, enabling construction of robust portfolios. RICH & LONG EXPERIENCE OF MANAGING RISKS What sets us apart is our collective experience and skill in timely exits, acquired from our previous leadership roles. INDEPENDENT FUND HOUSE WITH NO CONFLICT Owned and run by fund managers which ensures longevity and continuity of investment managers; with no conflict. CREDIT AIF: MOSAIC'S DIFFERENTIATED APPROACH DIVERSIFIED We will invest across multiple uncorrelated credit segments BIGGER SURFACE AREA Our multiple specialist teams have better coverage and relations to source better priced trades across sectors ACTIVE & EXIT READY We will deploy an active credit and duration strategy with a strong focus on exit INDEPENDENT We are a stand-alone asset manager with no other business, resulting in no conflicts of interest CREDIT AIF: MOSAIC'S DIFFERENTIATED APPROACH ISSUES FACED OUR APPROACH ISSUE FACED CONCENTRATED Most AIFs are single credit-segment oriented OUR APPROACH DIVERSIFIED We will invest across multiple uncorrelated credit segments ISSUE FACED LIMITED ORIGINATION Most AIFs’ origination funnel is limited OUR APPROACH BIGGER SURFACE AREA Our multiple specialist teams have better coverage and relations to source better priced trades across sectors ISSUE FACED FMP LIKE Most AIFs chase pricing and match duration, behaving like High-Yield fixed maturity plans OUR APPROACH ACTIVE & EXIT READY We will deploy an active credit and duration strategy with a strong focus on exit ISSUE FACED CONFLICTED Most AIFs have inherent conflict of interest and are AUM growth focused OUR APPROACH INDEPENDENT We are a stand-alone asset manager with no other business, resulting in no conflicts of interest THE FOUR PILLARS OF INVESTING FRAMEWORK PHILOSOPHY * Active sector allocation * Framework based decision making * Macro and Micro assimilation * Exit focused SELECTION FRAMEWORK * Above-average margin and coverage ratio * Moderate leverage * Enforceable & tangible security REJECTION FRAMEWORK * Poor governance * Wilful default * Deep cyclical * Sub-optimal risk/return profile PORTFOLIO * Diversified across sectors * Granular with low concentration risk THE FOUR PILLARS OF INVESTING FRAMEWORK PHILOSOPHY SELECTION FRAMEWORK REJECTION FRAMEWORK PORTFOLIO We aim to build a unique asset management franchise by bringing together multiple specialist teams to actively manage diversified credit funds. The name “Mosaic” reflects our approach of combining diverse, uncorrelated credit assets to achieve higher returns per unit of risk. QUICK LINKS * Our Team * Academia * Contact * Our Team * Academia * Contact * Our Team * Academia * Contact * Our Team * Academia * Contact REACH OUT TO US We look forward to hearing from you. Drop us a message to receive a call back from our team. Name(Required) Email Id Phone Number Untitled Δ © 2024 Mosaic Asset Management. All rights reserved. X-twitter Linkedin Facebook Notifications