Public Equity
Experienced Asian equities managers, growth-oriented, value-conscious. Karrin Asia Opportunities Fund.
Our Investment Philosophy
A structural up-cycle in Asian equities, unlocked by disciplined active management.
The Asian Structural Advantage
Asia’s growth as a global economic powerhouse is anchored by a dominant manufacturing base, deepening intra-regional trade, and an expanding urban consumer class insulated from Western credit cycles.
Pan-ASia Capital Allocation
Supported by stable fiscal frameworks and favorable demographics, the region is at an inflection point for a multi-year structural re-rating—reversing historic valuation discounts against concentrated Western benchmarks.
The Karrin Investment Framework
The Karrin team combines disciplined value protection with a nimble growth strategy, delivering asymmetric risk-adjusted returns across market cycles.
Mandate Execution
Karrin Asia Opportunities Fund

Active Management & Tactical Flexibility
A multi-strategy Asian absolute return framework combining bottom-up fundamental valuations with top-down macroeconomic surveillance. We seek “special situations” that allow for attractive returns from taking opportunistic positions.
Dynamic Beta
0.15 – 0.65 Target Range

Multiple Return Drivers
The fund is growth-oriented but value-conscious, with a strict emphasis on margin of safety achieved through valuation discipline and dividend buffers.
Factor Exposure
P/E ratio of 10x, PEG ratio of 0.4x, implied dividend yield of 3.5%.

Experienced Asia Equities Team
Senior portfolio manager with 30+ years across Asia-Pacific cycles, supported by 40+ years of fundamental research and macro coverage at tier-one institutions.
Cycle Experience
30+ Years Regional Tenure
