The firm employs a multi-strategy approach with a focus on value investing and emerging opportunities based on structured and disciplined investment, research and risk management processes.
Our absolute return led investment philosophy aims to provide our clients with:
Consistent performance through active management
Enhanced risk management
Full transparency and tailored investment reporting
Member of The Alternative Investment
Management Association Limited
We focus on Equity, Credit and Special Situation strategies
Reliance Asia Fund targets absolute returns by investing both long and short in the securities of global issuers primarily exposed to Asia ex-Japan. The fund focuses on low-volatility, liquid and large cap equities based on deep fundamental company analysis.
Our debt fund offers investors with an actively managed and liquid credit strategy with a focus on dislocated credit markets in Europe.
We source and make bespoke investments in illiquid and dislocated asset classes. Our investment experience covers a range of markets such as real estate, insurance, distressed debt and other real assets.