Our approach

We bridge top-down macro shifts with bottom-up sector and company research to identify the most compelling risk-adjusted return opportunities.

Read the Landscape.

Identify inflections across markets, sectors, and companies.

Read the Landscape.

Identify inflections across markets, sectors, and companies.

Read the Landscape.

Identify inflections across markets, sectors, and companies.

Spot Changes Early.

Quantify potential gains and losses, independent of consensus.

Spot Changes Early.

Quantify potential gains and losses, independent of consensus.

Spot Changes
Early.

Quantify potential gains and losses, independent of consensus.

Back with Conviction.

Invest decisively and size positions according to conviction and risk.

Back with Conviction.

Invest decisively and size positions according to conviction and risk.

Back with Conviction.

Invest decisively and size positions according to conviction and risk.

Stay Anchored and Adaptive.

Monitor, rebalance, and protect capital as conditions evolve.

Stay Anchored and Adaptive.

Monitor, rebalance, and protect capital as conditions evolve.

Stay Anchored and Adaptive.

Monitor, rebalance, and protect capital as conditions evolve.

Read the Landscape.

Identify inflections across markets, sectors, and companies.

Read the Landscape.

Identify inflections across markets, sectors, and companies.

Read the Landscape.

Identify inflections across markets, sectors, and companies.

Spot Changes Early.

Quantify potential gains and losses, independent of consensus.

Spot Changes Early.

Quantify potential gains and losses, independent of consensus.

Spot Changes Early.

Quantify potential gains and losses, independent of consensus.

Back with Conviction.

Invest decisively and size positions according to conviction and risk.

Back with Conviction.

Invest decisively and size positions according to conviction and risk.

Back with Conviction.

Invest decisively and size positions according to conviction and risk.

Stay Anchored and Adaptive.

Monitor, rebalance, and protect capital as conditions evolve.

Stay Anchored and Adaptive.

Monitor, rebalance, and protect capital as conditions evolve.

Stay Anchored and Adaptive.

Monitor, rebalance, and protect capital as conditions evolve.

Our Investment & Risk Process

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Investment

Risk

Ideation

Qualification

Confirmation

Execution

Investment

Risk

Ideation

Qualification

Confirmation

Execution

Investment

Risk

Ideation

Qualification

Confirmation

Execution

Investment

Risk

Ideation

Qualification

Confirmation

Execution

Investment

Risk

Ideation

Qualification

Confirmation

Execution

Our Performance

Vihan Flagship Strategy

NIFTY 500

Foundations of Our System

Access

We provide transparent, governance-led structures that enable efficient compounding over the long term.

Performance

We back high-conviction ideas with favorable risk–reward skews, delivering superior risk-adjusted returns.

Clarity

We give investors clarity to stay invested through cycles, avoiding the pitfalls of chasing tops or exiting at bottoms.

Alignment

We invest our own capital alongside our clients, aligning incentives to manage risk, capture opportunities, and compound value.