“We value our investors not merely as clients but as partners in a long-term journey, fostering a deep and enduring connection that transcends time and reinforces our unique association.”
Letter to Investors
Dear Investors,
Allow me to elaborate on Abans Investment Manager Mauritius, a forward-thinking and innovative firm dedicated to delivering exceptional asset management services. Our mission is to provide strategic investment solutions that cater to the diverse needs of our clients, ensuring that each investment decision is guided by expertise and insight.
At Abans Investment Manager, our mission is to offer superior asset management services that cater to the evolving needs of our investors. We are dedicated to providing strategic guidance and innovative solutions designed to optimize your investment outcomes. Our approach focuses on adaptive fund diversification and leveraging market opportunities to deliver exceptional results.
Abans Investment Manager Mauritius prides itself on its ability to offer tailored investment strategies that align with your financial goals. We are dedicated to providing a personalized approach, ensuring that each investment decision is made with careful consideration and strategic foresight.
We invite you to join our growing network of investors and experience the benefits of partnering with Abans Investment Manager Mauritius. Should you have any questions or require further information about our investment strategies and how we can help you achieve your financial objectives, please do not hesitate to reach out. Our dedicated specialists are here to assist and provide you with the support you need.
Thank you for considering Abans Investment Manager Mauritius as your investment partner. We look forward to the opportunity to work with you and contribute to your financial success.
Our Funds
Abans International Limited
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 Investment Global Opportunities Fund VCC
Abans Equity
Opportunities Fund
Investment in high growth listed companies in India
Abans Absolute
Return Strategy
Investing in derivatives and AIF
Abans Hedge
Fund
Investing in derivative markets worldwide
Why invest with us
Innovative Solutions
In a rapidly evolving financial environment, staying ahead demands a blend of innovation and agility. We leverage advanced research tools, state-of-the-art technology, and inventive investment strategies to craft solutions that adapt to shifting market dynamics. Our approach involves continuous exploration of emerging trends and the integration of cutting-edge techniques to optimize your investment opportunities. By prioritizing financial innovation, we ensure that you benefit from the latest advancements and trends, providing you with a significant competitive edge. This forward-thinking mindset helps us navigate complexities and position your investments for sustained success in a volatile market.
Continuous Performance Monitoring
We offer continuous oversight of your investments, conducting regular performance assessments to ensure alignment with your financial goals. Our proactive management approach involves closely monitoring market trends and economic developments to identify when adjustments are necessary. By making timely changes to your portfolio, we address potential risks and capitalize on emerging opportunities. This ongoing vigilance helps maintain your investment strategy's effectiveness, ensuring that your portfolio remains resilient and responsive to dynamic market conditions. Our commitment to regular reviews and adjustments supports your long-term financial success and stability.
Strategic Asset Allocation
We employ strategic asset allocation techniques to diversify your investments and manage risk efficiently. Our approach involves a meticulous process of selecting and balancing a diverse range of asset classes, including equities, bonds, derivatives, and alternative investments. By allocating assets according to their expected returns and risk characteristics, we aim to achieve an optimal risk-return profile tailored to your financial goals and risk tolerance. This disciplined strategy helps mitigate potential losses and enhances the potential for long-term growth. Regular reviews and adjustments ensure that your portfolio remains aligned with evolving market conditions and personal objectives.
Risk Management
We implement robust risk management strategies designed to proactively address and mitigate potential losses, ensuring that we are prepared for various uncertainties in the market. This involves a comprehensive approach that includes identifying potential risks, assessing their impact, and prioritizing them based on their severity. We then deploy targeted risk mitigation measures to reduce the likelihood and impact of these risks. By continually monitoring and adjusting our strategies, we maintain a dynamic and resilient framework that helps safeguard our investments and operations. Our goal is to provide a stable foundation and security, even in volatile and unpredictable market conditions.
Expert Guidance
Our team of seasoned professionals combines extensive market knowledge with strategic insights to guide you through intricate financial landscapes. We leverage our deep understanding of market dynamics and investment strategies to develop tailored approaches that address your unique financial needs. By staying informed about the latest developments and utilizing advanced analytical tools, we provide you with robust strategies. Our deep understanding of market dynamics allows us to anticipate shifts and adapt strategies proactively, providing you with robust solutions that align with your evolving needs. This comprehensive approach empowers you to make informed decisions and achieve long-term financial success.
Proven Results
Our track record of strong performance underscores our dedication to delivering robust returns while managing risk with precision. We have consistently demonstrated our ability to achieve superior investment outcomes through rigorous analysis, strategic asset allocation, and proactive management. This performance is a testament to our commitment to implementing effective strategies and adapting to changing market conditions. By closely monitoring and optimizing our investment approaches, we not only aim to meet but exceed your financial goals. Our history of success highlights our expertise and reliability in navigating the complexities of financial markets to secure lasting value for your investments.
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.