Brazil LP Sponsors
Presenting Sponsors
We are one of the world’s leading private investment firms with approximately $185 billion in assets under management that creates lasting impact for our investors, teams, businesses and the communities in which we live. Founded in 1984, we pioneered a consulting-based approach to private equity investing, partnering closely with management teams to offer the insights that challenge conventional thinking, build great businesses and improve operations. Over time, we have organically expanded this approach across asset classes to build one of the strongest alternative asset platforms in the world.
Today, our teams strive to create value through private equity, public equity, fixed income, credit, venture capital and real estate investments across multiple sectors, industries, and geographies. We believe that our people and the shared values we’ve espoused since our founding remain the core of our competitive advantage. This has empowered us to deliver an enduring impact to a diverse group of investors including pensions, endowments, foundations and individuals.
Preqin, the Home of Alternatives™, empowers financial professionals who invest in or allocate to alternatives with essential data and insight to make confident decisions. It supports them throughout the entire investment lifecycle with critical information and leading analytics solutions. The company has pioneered rigorous methods of collecting private data for over 20 years, enabling more than 200,000 professionals globally to streamline how they raise capital, source deals and investments, understand performance, and stay informed.
Sponsor
Founded in 2007, Kawa is an alternative asset manager focused on providing outstanding value to its investors. Since inception, our aim has remained constant: to deliver competitive risk-adjusted returns to our investors while maintaining our commitment to transparency, capital preservation and our core principles. As of October 31, 2022, Kawa has grown to $2.5 billion in assets under management across our liquid and private investment strategies.
Kawa is a dynamic and opportunistic company, dedicated to pursuing positive absolute long-term returns. The firm employs a disciplined asset allocation approach with a focus on creative strategies that are off the radar screen of larger asset managers. Our team attempts to take diverse opportunistic situations and structure profitable investments for long-term growth through rigorous and persistent monitoring of risk with special emphasis on capital preservation. Our liquid strategies look to bring meaningful returns with more marketable securities, generally in products which are open-ended and provide regular liquidity to our investors. We have launched and currently run a number of strategies with fixed-income and macro focuses. Offered individually or as part of a portfolio of closed-ended funds, our private investments allow us to take advantage of sometimes fleeting opportunities.
Kawa Capital Management’s disciplined investment approach is to designed to seek to provide idiosyncratic alpha to its investors through bespoke transactions that are not always accessible to larger and more mainstream market participants, away from typical ‘Hedge Fund Beta’. Kawa Capital employs a diverse opportunistic approach covering multiple asset classes seeking high risk adjusted returns through regular monitoring of risk.