Abans Investment Manager Mauritius
Empowering Your Future with Sustainable Investment Solutions
Abans Global
Arbitrage Fund
Capitalizing on arbitrage opportunities
Abans Growth and
Momentum Fund
Investing in high growth listed companies
Abans Investment
and Feeder Fund
Investing in Abans Structured Notes Fund-2
Abans Hedge
Fund
Investing in derivative markets worldwide
Navigating Your Financial Future with Expertise and Integrity.
Abans Investment Manager Mauritius
Abans Investment Manager Mauritius is the asset management division of Abans Group. With over a decade of global experience in proprietary and public fund management across diverse asset classes, our group excels in handling complex derivative strategies in commodities, equities and currencies in global market. Our expertise, combined with advanced technology integration, has allowed us to develop several quantitative portfolio management and investment strategies. Over the years, we have successfully navigated challenging financial markets and various market cycles, fostering wealth creation while effectively managing downside risk.

Discover how our tailored strategies can elevate your financial journey.
Reach out today and let’s build your investment success together.
Why Invest With Us
We turn global opportunities into personalized success.
Risk Management
Identifying, assessing, and mitigating potential risks to protect investments and ensure financial stability
Expert Guidance
Tailored insights and strategies to help individuals and businesses make informed decisions and achieve their financial goals.
Proven Results
We have proved our strategies and decisions through consistent, measurable success in maximizing returns.
Strategic Asset Allocation
Optimizing the placement of investments across different accounts to minimize taxes and enhance overall portfolio performance
Continuous Performance Monitoring
Regularly assessing performance to ensure alignment and making adjustments as market conditions evolve.
Innovative Solutions
Leveraging advanced technology and creative strategies to address complex challenges and optimize outcomes
Why Mauritius
Why we have selected Mauritius as the domicile for our funds
Favourable Tax Environment
Mauritius offers a low and transparent tax regime, including a corporate tax rate of 15%, and various tax treaties with countries around the world that help avoid double taxation.
Robust Regulatory Framework
The country has a well-established regulatory framework, governed by the Financial Services Commission (FSC), which aligns with international standards and best practices, ensuring confidence.
Strategic Location and Global Access
Situated in the Indian Ocean, Mauritius acts as a gateway between Africa, Asia, and Europe. This strategic location is ideal for funds seeking to tap into emerging markets in these regions.
Strong Legal System
Mauritius has a dual legal system combining French civil law and English common law, which provides a high level of legal certainty for international investors.
Political and Economic Stability
Mauritius enjoys political stability and a growing economy, making it an attractive environment for investment and business operations.
Reputable Financial Sector
The financial services sector in Mauritius is well-developed, with numerous international banks, investment firms, and service providers operating in the country.
Flexible Fund Structure
Mauritius offers a variety of fund structures, including private equity, hedge funds, and real estate funds, providing flexibility to meet different investment strategies.
Investment Protection
Mauritius is a signatory to many international treaties, including the International Centre for Settlement of Investment Disputes (ICSID), ensuring robust investor protection.
Our Vision
Our vision is to become a global leader in asset management, using cutting-edge technology and advanced strategies to drive exceptional value and sustainable growth. We aim to deliver tailored solutions that meet the unique needs of our clients across a wide range of evolving financial markets, ensuring long-term success and innovation.
Our Mission
To deliver innovative investment solutions through expertise in proprietary and public fund management. By offering tailored options like our Global Arbitrage Fund , Portfolio Management and Alternative Investment Fund, we aim to meet diverse investor needs, promote fiscal prudence, and drive financial innovation in a dynamic market
Your trusted access point for investment
Abans Investment Manager aspires to become a leading force in investment management by providing investors with a diverse range of high-quality alternative solutions, delivering exceptional service, and attracting and retaining top talent. Our goal is to address the evolving needs of our clients for greater diversification and income-generating products while developing investment capabilities that grant access to low-correlation asset classes, effectively balancing risk, return, and volatility. Abans Investment Manager Mauritius seeks to be a trusted gateway for regional investors looking for global products tailored to their unique needs, all while adhering to the highest standards of international corporate governance, as evidenced by our wholly independent business model.
Our Leadership Team
Dedicated to Inspiring Growth and Fostering Collaboration