Nine Rivers Capital

Nine Rivers Capital is an independent asset management and corporate advisory group focused on high growth businesses from new economy as well as traditional sectors. Started in 2008 as a private equity firm by some of the sharpest minds in the finance world, Nine Rivers Capital has since then grown in stature and size adding small/mid cap public equities & corporate advisory to its offerings and enjoys a position of high repute in these areas. They strongly believe that re-invention of business models of traditional mid-market companies and proliferation of new economy ventures focussed on innovation shall catapult India into an economic superpower and offer attractive investment opportunities to make superior returns.

Fund Managers

Mr. Sandeep Daga

Managing Director & CIO

A Mid-market focused individual having 25 years of India-centric public and private equity investing experience. He occupied board positions on listed and PE funded companies as an Independent Director. Previously, Partner at Frontline Ventures and Head of B2B Investments at ICICI Ventures. He holds an MBA in Finance from NMIMS, Mumbai and a Bachelors in Engineering from Amravati University. He has a strong network of relationships in the corporate and financial world.

Mr. Vivek Ganguly

Executive Director & Portfolio Manager

Mr. Vivek Ganguly has a rich 22 years of investment management experience.

Previously, Principal with Global Environment Fund, a reputed PE fund focused on cleantech investing.

Formerly, successful investment track record as a fund manager at Quantum Asset Management Company Pvt. Ltd. He holds an MBA in Finance from Calcutta University and a Bachelor in Arts from Nagpur University. By temperament, he is patient and a long term investor.


Nine Rivers Capital - Aurum Small Cap Opportunities - SMALL CAP

Aurum Small Cap Opportunities (ASCO) strategy is built out of 12-15 high conviction small cap stocks (Market Cap < INR 2,500 Crores) with an investment horizon of 3-5 years on each stock. Very low churn portfolio. ASCO has a fixed term of 5 years and the endeavour is to monetize the portfolio by the end of the term in a systematic fashion. Back-ending of performance fees and significant manager’s participation in ASCO creates a strong long term alignment of interest with clients.

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