At Crossbridge Asset Management, we provide Australian investors with structured access to India’s high-growth equity markets. With a strategic, research-driven approach, we offer investment solutions designed to capitalize on India’s economic expansion while ensuring compliance, transparency, and risk management.
We believe in a data-backed, disciplined investment philosophy that challenges conventional market wisdom. Our strategies are designed to generate superior risk-adjusted returns, leveraging deep market insights, institutional-grade research, and robust governance frameworks.
To deliver strategic, research-driven investment solutions that enable investors to benefit from India’s long-term economic expansion while maintaining the highest standards of risk management, regulatory compliance, and investor transparency.
To bridge global capital with India’s thriving equity markets, providing investors with a transparent, regulated, and high-growth investment platform.
We focus on companies that exhibit, Strong Fundamentals, Scalability Potentials, Governance & Transparency, and Market inefficiencies.
We offer two primary investment strategies: 1. Small-Cap Fund2. Multi-Cap Fund
Our funds are benchmarked against leading indices across India, Australia, and the U.S. to measure performance and risk-adjusted returns.
Developed by seasoned professionals with extensive experience in global financial markets and investment management.
Offering exposure to India’s fastest-growing sectors through structured investment vehicles.
Applying institutional-level research, value investing principles, and structured risk controls.
Operating under a structured Australian Financial Services Licence (AFSL) framework, ensuring full regulatory compliance.
Investment strategies benchmarked against India, Australia, and global markets to optimize capital appreciation.