Profil
Mr. Subramanian Sriniwasan is a Managing Director at Kotak Alternate Asset Managers Ltd. and a Chief Executive Officer at Kotak Realty Funds Group.
He is on the Board of Directors at Kotak Alternate Asset Managers Ltd. He is also a part of the Group Management Council that drives Kotak Mahindra Group’s growth charter.
As one of the earliest fund managers to raise and invest capital in India, Mr. Sriniwasan has introduced significant financing, financial structuring and negotiating skills in the alternate assets industry.
He joined the Kotak Mahindra Group in 1993.
Prior to KAAML, Mr. Sriniwasan was a part of Kotak’s investment banking joint venture with Goldman Sachs from inception in 1995, and was co-head of Kotak Investment Banking until 2005.
At Kotak Investment Banking, he advised leading domestic and international companies on capital raising, M&A and strategic divestitures.
He holds a Bachelor's degree in Commerce from Delhi University and an MBA from the Institute of Management Technology (IMT), Ghaziabad.
Postes actifs de Subramanian Sriniwasan
| Sociétés | Poste | Début |
|---|---|---|
Kotak Realty Funds Group
Kotak Realty Funds Group Investment ManagersFinance KRF is an active, opportunistic manager which invests across a broad spectrum of real estate sectors and geographies, aiming to produce long-term capital appreciation through a proactive investment strategy which leverages growth, risk mitigation and financial engineering. They seek to invest in “best positioned” opportunities to capitalize on the forces driving Indian real estate. The firm focuses on projects that generate scalable, sustainable and risk-adjusted returns through a strategy that involves: investing in or alongside professional developers, who develop assets complying with global quality standards in India; opportunistically investing in a broad range of assets in high growth cities; focusing on value enhancement; leveraging transactions at the project level and formulating clear exit strategies at the time of investment. They proactively select investments, conducting on-ground research, analyzing growth drivers and monitoring developments, which they align with the microeconomics of the region. Investments are generally growth-stage and development focused. Due to legal, political and execution risks, they provide for an adequate margin of safety by performing due diligence and using conservative assumptions in projecting cash flows, scenario analysis and financial engineering. KRF believes in prudent use of debt and utilizes their network to assist investee companies to obtain financing arrangements on better market terms. They invest through a multi-layered process involving deal sourcing, analysis, structuring and monitoring real estate projects across the investment horizon. They primarily source transactions through their relationships, their network and Kotak Mahindra Group's operating platform. The firm conduct appropriate assessments and due diligence on all aspects of potential transactions including exploring structuring options for the transactions to derive maximum value for investors, addressing taxation and repatriation issues and ensuring that tax / regulatory impacts on the transactions are suitably addressed at inception. | Directeur Général | - |
Kotak Alternate Asset Managers Ltd.
Kotak Alternate Asset Managers Ltd. Investment ManagersFinance Provides investment advice | Directeur Général | 01/05/2005 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 2 |
|---|---|
Kotak Realty Funds Group
Kotak Realty Funds Group Investment ManagersFinance KRF is an active, opportunistic manager which invests across a broad spectrum of real estate sectors and geographies, aiming to produce long-term capital appreciation through a proactive investment strategy which leverages growth, risk mitigation and financial engineering. They seek to invest in “best positioned” opportunities to capitalize on the forces driving Indian real estate. The firm focuses on projects that generate scalable, sustainable and risk-adjusted returns through a strategy that involves: investing in or alongside professional developers, who develop assets complying with global quality standards in India; opportunistically investing in a broad range of assets in high growth cities; focusing on value enhancement; leveraging transactions at the project level and formulating clear exit strategies at the time of investment. They proactively select investments, conducting on-ground research, analyzing growth drivers and monitoring developments, which they align with the microeconomics of the region. Investments are generally growth-stage and development focused. Due to legal, political and execution risks, they provide for an adequate margin of safety by performing due diligence and using conservative assumptions in projecting cash flows, scenario analysis and financial engineering. KRF believes in prudent use of debt and utilizes their network to assist investee companies to obtain financing arrangements on better market terms. They invest through a multi-layered process involving deal sourcing, analysis, structuring and monitoring real estate projects across the investment horizon. They primarily source transactions through their relationships, their network and Kotak Mahindra Group's operating platform. The firm conduct appropriate assessments and due diligence on all aspects of potential transactions including exploring structuring options for the transactions to derive maximum value for investors, addressing taxation and repatriation issues and ensuring that tax / regulatory impacts on the transactions are suitably addressed at inception. | Finance |
Kotak Alternate Asset Managers Ltd.
Kotak Alternate Asset Managers Ltd. Investment ManagersFinance Provides investment advice | Finance |
















