Investment Approach

Aviyan pools capital from diverse investors and applies disciplined screening, governance review and sector expertise before capital allocation.

Investment philosophy

Scientific allocation with governance discipline.

Aviyan’s approach is centered on strategic capital pooling, high-growth sector selection, responsible investment practice and long-term stakeholder value creation.

01

Capital pooling

Aggregate idle capital from retail, underrepresented and marginalized investors across Nepal.

02

Sector screening

Prioritize high-impact sectors including hydro/energy, tourism, real estate, ICT, financial/PEVC and agrotourism.

03

Diligence review

Review promoter background, documentation, execution complexity, valuation and return-risk fit.

04

Governance control

Maintain transparency, board oversight, risk review and operational discipline before and after investment.

05

Value creation

Build sustainable stakeholder value through active monitoring and institutional accountability.

06

Reporting readiness

Prepare investor communication, disclosures and reporting processes as the investor portal evolves.

Core decision filters.

Aviyan applies disciplined decision filters before allocation, balancing strategic fit, return potential, governance and long-term sustainability.

Strategic fit

Alignment with Aviyan’s mandate to support national development and high-growth economic sectors.

Return discipline

Clear financial rationale, capital requirement, expected return profile and downside scenarios.

Governance

Compliance, transparency, board review, documentation and monitoring obligations.

Sustainability

Long-term value creation with responsible corporate citizenship and stakeholder benefit.