How We Invest
Our investment approach combines deep market knowledge with disciplined execution to create sustainable value across sectors.
Investment Pillars
Infrastructure & Logistics
Ports, roads, warehouses, and supply chain assets that keep economies moving. We look for assets with strategic location advantages and long-term contracts.
Energy & Resources
Power generation, fuel distribution, and resource-linked businesses with durable demand and strong market positions.
Enterprise & FMCG
Consumer brands and B2B platforms with strong distribution moats and recurring revenue models.
Our Strategic Approach
DHI India follows a disciplined investment approach that combines the long-term perspective of sovereign wealth management with the agility of private capital.
We seek to build a diversified portfolio of assets that generate stable cash flows while positioning for growth in India's evolving economy.
Our focus is on businesses with strong competitive positions, experienced management teams, and clear paths to value creation.
Investment Criteria
Market Position
Leading or challenger position in attractive markets with clear competitive advantages.
Management Quality
Experienced leadership teams with track records of execution and value creation.
Growth Potential
Clear pathways for revenue and earnings growth through market expansion or operational improvements.
ESG Alignment
Strong environmental, social, and governance practices aligned with sustainable development.
Bilateral Value
Opportunities that strengthen economic ties between Bhutan and India.
Return Profile
Attractive risk-adjusted returns with clear exit pathways.