Mosaic Asset Management

Bringing together super specialists teams to deliver high value & strong protection for investors

Useful Resources

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.

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.

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.

Debt Fund: 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

Our Four Pillars of Investing

philosophy

Selection Framework

Rejection Framework

Portfolio