Yaniva Undiscovered Pearls
A SEBI-registered Category II Alternative Investment Fund focused on high-potential Indian businesses through disciplined underwriting, governance, and long-term value creation.
Yaniva Undiscovered Pearls is designed to identify selective investment opportunities where business quality, capital structure, and exit visibility support a measured, research-led approach to capital deployment. This website provides a general overview of the fund platform and does not constitute an offer or solicitation.
Long-term capital.
Research-led conviction.
Yaniva Undiscovered Pearls is a Category II Alternative Investment Fund established to pursue long-term, risk-aware capital appreciation through a selective and research-intensive investment process.
The fund evaluates opportunities where disciplined diligence, prudent structuring, and governance oversight can support durable value creation over time.
Long-term capital appreciation,
responsibly pursued.
The fund seeks to deliver long-term capital appreciation by investing in businesses and structured opportunities where quality, underwriting discipline, and active monitoring can improve investment outcomes over the life of the fund.
Four pillars. One discipline.
Our strategy is built around disciplined capital allocation across opportunities where deep diligence, structured execution, and clear exit visibility can create attractive long-term outcomes.
The fund evaluates businesses with scalable models, credible management teams, and identifiable drivers of long-term value creation, supported by rigorous diligence and structured underwriting.
- Scalable business models
- Credible management teams
- Identifiable value drivers
- Structured underwriting
The fund may participate in select opportunities associated with the transition from private to public markets, where entry discipline, governance review, and liquidity planning are important.
- Entry discipline
- Governance review
- Liquidity planning
- Selective participation
The fund assesses structured capital opportunities with attention to downside protection, covenant architecture, repayment visibility, and, where relevant, equity participation optionality.
- Downside protection
- Covenant architecture
- Repayment visibility
- Equity optionality
Where appropriate, the fund may evaluate market-linked opportunities through a fundamentals-based framework grounded in financial quality, governance, and valuation discipline.
- Fundamentals-based framework
- Financial quality
- Governance review
- Valuation discipline
Patience.
Discipline. Substance.
The investment philosophy is rooted in fundamental research, disciplined underwriting, and patience.
The focus is on opportunities where business quality, management alignment, structure, and exit visibility matter more than market noise.
Proprietary technology
meets fundamental judgment.
The investment process is supported by proprietary, in-house technology used to strengthen diligence, review consistency, monitoring, and internal decision support across the investment lifecycle.
This technology-enabled framework complements fundamental judgment by improving process discipline, traceability, and portfolio oversight.
Risk-aware,
by design.
Risk management is integrated into the investment lifecycle from screening to monitoring and exit. The framework combines qualitative diligence with structured analytical review to assess business quality, financial resilience, covenant protection, concentration limits, and ongoing portfolio developments.
Discipline
through structure.
Governance is embedded throughout the investment lifecycle through internal review processes, investment committee oversight, legal documentation standards, and compliance-oriented monitoring. The objective is to maintain discipline in decision-making, execution, and ongoing portfolio supervision.
Defined internal review and approval processes for every commitment.
Documentation-led investment execution with consistent legal standards.
Ongoing monitoring of risk indicators and portfolio developments.
Compliance-oriented oversight across the fund lifecycle.
Exits, planned
at entry.
The fund approaches exits as a planned component of underwriting rather than an afterthought. Investment selection takes into account potential exit routes, liquidity conditions, business milestones, and market windows so that capital can be recycled in a disciplined manner over the life of the fund.
Three parties.
One alignment.
The fund is structured to maintain alignment among the sponsor, investment manager, and investors — across governance, decision-making, and long-term outcomes.
Detailed commercial terms, rights, obligations, and distribution mechanics are set out in the definitive fund documents shared privately with eligible investors.
Discipline.
Alignment. Execution.
Yaniva Undiscovered Pearls is sponsored by Yaniva Global Assets LLP and managed by Yaniva Fund Managers LLP. The platform is built around disciplined research, structured investment evaluation, and long-term alignment with investor outcomes.
The leadership team brings together experience across investment analysis, underwriting, transaction evaluation, and portfolio monitoring, with an emphasis on disciplined execution and governance-aware investing.
Managing Partner — Investments
Leads investment strategy, opportunity selection, and portfolio construction. Brings experience across business analysis, transaction evaluation, and long-horizon capital deployment, with an emphasis on quality, governance, and disciplined underwriting.
- Investments
- Transactions
- Portfolio Strategy
Fund Manager — Diligence & Underwriting
Oversees diligence and underwriting workflows, structuring deep analytical review and ensuring consistency across investment evaluation. Focused on business quality, financial resilience, and structured assessment of risk and value drivers before capital is committed.
- Diligence
- Underwriting
- Analytical Review
Partner — Risk & Operations
Leads risk oversight, portfolio monitoring, and operational discipline. Coordinates compliance-oriented review, governance routines, and timely identification of issues to support intervention where required across the lifecycle of fund investments.
- Risk
- Operations
- Compliance Monitoring
For eligible investors,
under applicable law.
This website is intended solely to provide a general overview of the fund and its investment platform. Investment in the fund is available only to eligible investors in accordance with applicable law and subject to the terms of the definitive offering and subscription documents.
Detailed fund materials may be shared upon request, subject to eligibility review, confidentiality requirements, and applicable legal and regulatory considerations.
our team.
For institutional and eligible investor enquiries, please contact the team for further information. Additional materials may be shared, where appropriate, subject to internal review, confidentiality requirements, and applicable law.
Shilaj, Ahmedabad, 380054, Gujarat, India