Asset ManagerRIA · CRD 286032SEC-RegisteredPrivate Fund Adviser

Updated:

Kotak Mahindra Asset Management (Singapore) Pte. Ltd.

KOTAK MAHINDRA ASSET MANAGEMENT (SINGAPORE) PTE. LTD. is an SEC-registered investment adviser in Singapore since 2017.

Kotak Mahindra Asset Management (Singapore) Pte. Ltd.

KOTAK MAHINDRA ASSET MANAGEMENT (SINGAPORE) PTE. LTD. is an SEC-registered investment adviser in Singapore since 2017. The firm manages approximately $5.1 billion in assets. It has 8 employees and 7 investment advisers.

General information

Firm type

Asset Manager

Year founded

AUM

Undisclosed

Location

Region

Asia

Country

Singapore

City

Singapore

Corporate office

Singapore, Singapore

Sector focus

Private CreditReal EstateInfrastructurePrivate Equity

Frequently asked questions

What is the relationship between Kotak Mahindra Asset Management (Singapore) and Kotak Mahindra Asset Management Company in India?

Kotak Mahindra Asset Management (Singapore) is a separate entity from Kotak Mahindra Asset Management Company, which manages mutual funds in India. Both are subsidiaries of Kotak Mahindra Group, but the Singapore entity focuses exclusively on alternative investments and private market strategies for international investors, regulated by the Monetary Authority of Singapore (per public record).

What investment strategies does the firm pursue?

The firm focuses on alternative asset classes including private credit, real estate, infrastructure, and private equity. It targets direct investments and structured debt opportunities, primarily in Asian markets, leveraging the Kotak network for deal sourcing (per the firm's corporate filings and public disclosures).

Who are the key decision-makers at the firm?

Publicly named principals are not available in public sources. The firm is led by senior executives appointed by Kotak Mahindra Group, with investment decisions likely overseen by a management committee. Team composition and leadership details remain undisclosed as of 2026.

Does the firm accept external capital from third-party investors?

The firm is structured to manage capital from institutional and high-net-worth investors outside India, though the exact mix of internal group capital and third-party funds is not publicly reported. It operates as a regulated asset manager in Singapore, indicating openness to external mandates (per public record).

What is the firm's geographic investment focus?

The firm targets investment opportunities primarily in Asia, with a focus on South and Southeast Asian markets including India, Singapore, and broader ASEAN countries. Its strategies are designed to capture growth linked to the Indian diaspora and regional infrastructure development (per public profile).

How does Kotak Mahindra Asset Management (Singapore) source its deal flow?

Deal flow is sourced through the Kotak Mahindra Group's network, which includes banking, investment banking, and advisory relationships across India and Asia. The firm also co-invests alongside institutional partners, giving it access to proprietary and structured opportunities in private credit and infrastructure (per public record).

What sectors does the firm explicitly avoid?

The firm does not publicly disclose a list of excluded sectors. Based on its stated focus on alternatives, it likely avoids passive public equities, direct hedge fund strategies, and early-stage venture capital, concentrating instead on income-generating private credit and infrastructure assets (Altss inference).

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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