Kotak Alternate Asset Managers Limited
Jitendra Gohil, CFA, currently serves as the Chief Investment Strategist at Kotak Alternate Asset Managers Limited since August 2023. Prior to this role, Jitendra held significant positions at Credit Suisse from February 2010 to August 2023, including Director- Head Of Equity Research for Wealth Management and Vice President in both India Research and Global Research, where responsibilities encompassed generating investment ideas and overseeing a team covering a substantial portion of global equity and fixed income research. Previous experience includes roles at Bank of America as an Associate in Credit Risk and Equity Research, and as a Relationship Manager at Bombay Stock Exchange. Jitendra began the career as a Dealer in Fixed Income Securities at Excel Debt Broking Pvt. Ltd. and holds a Master’s degree in Finance and Financial Management Services from N.L.Dalmia Institute of Management Studies and Research.
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Kotak Alternate Asset Managers Limited
Kotak Alternate Asset Managers Limited, erstwhile Kotak Investment Advisors Limited, is a part of Kotak Mahindra Group (Kotak), focuses on alternate assets management and investment advisory businesses. The company was set up in early 2005 and has raised/managed/advised over US$ 22 billion across different asset classes including Private Equity, Real Estate, Infrastructure, Special Situations, Data Centre and Private Credit. Kotak Alts also has a significant Investment Advisory business, and all asset management and Investment Advisory businesses are managed by independent teams. This change reflects the company's continued commitment to build and operate best in class investment and strong governance led alternate investment firm. KIAL was set up in early 2005 with its first structured third party funds to bring a sharper focus to this business. Since then it has raised / managed / advised in aggregate ~US$ 18 billion across different asset classes including Private Equity, Real Estate, Infrastructure, Special Situations, Data Centre and Private Credit. Kotak Alts also has a significant Investment Advisory business, and all asset management and Investment Each of these teams has significant industry and investment experience with strong deal origination and networking capabilities and a proven investment track record with demonstrated exits. The teams are known for their deal structuring capabilities, value creation and are among the few managers in India to have returned significant amount of capital and returns to our investors. Kotak is well versed in managing institutional capital and currently has several Sovereign Wealth Funds, Global Pension Funds, Insurance Companies and Development Finance Institutions as investors. Kotak Alts has consistently pioneered in identifying unique and differentiated investment opportunities in India and will continue to pursue this for the benefit of our Global LPs and domestic family office investors.