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About
® Registered Trademark

Sanchi Credit Opportunities Fund

Sanchi Credit Opportunities Fund was launched on 1st August, 2020 and ran till 30th June, 2022.

The Fund aims to generate net returns (annualized) of 8% over any 5-year period, by implementing a research-driven strategy which exploits credit market dislocations and inefficiencies globally, with a focus on investment-grade rated bonds and preference for developed markets. The Fund is a long-biased, opportunistic and concentrated credit fund. The Fund does not use leverage and runs tail risk hedges when appropriate. The Fund only invests in public market securities. The Fund is an absolute return, un-constrained bond fund.

The Fund doesn’t invest in issuers from China, Saudi Arabia, Turkey, Indonesia, Malaysia, Russia, Poland, Nigeria, Egypt and Argentina among major global economies.

Reports

Latest Factsheet

Available on request

Newsletter

Year End July 2021

Month End October 2021

Month End March 2022

Investment Philosophy

Interview Transcript

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