NISM 19D Alternative Investment Fund Managers Certification Exam Notes
Page 35 Of 141
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Risk Management: Involves monitoring and mitigating investment risks.
Exit Strategies: Critical for realizing returns, e.g., IPOs or strategic sales.
Fund Performance: Measured using IRR, TVPI, and other metrics.
Portfolio Management: Active management to optimize returns and risks.
Regulatory Framework: SEBI ensures AIFs operate within legal boundaries.
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