Two strategies.
One disciplined framework.
MW Structured Loan Fund I — Private Credit
“Senior-secured lending to established SMEs across Asia, generating stable, low-volatility income with disciplined risk management.”
Our Private Credit Fund provides 100% senior secured loans to established SMEs across Asia. We aim to mitigate risks while seeking consistent income streams through strong collateral and cashflow oversight.
The fund operates within a 5+2 year structure, with capital returned post-exit and reinvested within the fund term. All loans are senior secured, meaning Tigris holds first priority over borrower assets in the event of default.
Security
100% Senior Secured
Fund Term
5 + 2 Years
Structure
VCC (Singapore)
Administrator
Bolder Group
Geography
Asia Focus
Income
Quarterly Distributions
Key Features — Private Credit
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Senior Security
First-priority claim over borrower assets. Capital protection through strong collateral requirements.
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Cashflow Focus
Loans made to cashflow-positive, established SMEs with demonstrated repayment capacity.
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5+2 Structure
Five-year primary term with two-year extension. Capital recycled within the fund period.
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Independent Administration
Bolder Group handles NAV calculation, investor reporting, and operational oversight.
Pre-IPO Private Equity — Growth & Innovation
“Investing in profitable, scalable businesses with strong emphasis on AI-driven innovation and ESG-aligned growth, poised for near-term exits.”
Our Private Equity Fund targets pre-IPO opportunities in profitable companies nearing IPO. We invest in businesses that combine near-term liquidity potential with meaningful upside driven by technological innovation and ESG alignment.
Unlike venture capital, we focus only on companies that are already profitable — reducing execution risk while retaining significant upside from IPO or strategic exit events.
Stage
Pre-IPO Only
Profitability
Required
Focus
AI + ESG
Exit
IPO / Strategic
Structure
VCC (Singapore)
Return
Capital + Upside
Key Features — Private Equity
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Profitable Companies Only
We do not invest in pre-revenue or loss-making businesses. Profitability is a prerequisite.
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AI-Driven Innovation
Strong emphasis on companies leveraging AI and technology to drive scalable, defensible growth.
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ESG-Aligned
Investment thesis prioritises companies with positive environmental, social, and governance impact.
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Near-Term Exit Visibility
We target companies with identified IPO timelines or strategic acquirer interest within the fund period.
The Variable Capital Company — Singapore’s premier fund vehicle
Both Tigris funds are domiciled under Singapore’s VCC framework — a tax-efficient, flexible structure designed specifically for investment funds. The VCC allows multiple sub-funds under one umbrella, providing operational efficiency and investor protection.
Request Fund DocumentsFund Launch & Capital Deployment
Initial closing, investor onboarding, and deployment of capital into screened credit or equity opportunities.
Active Portfolio Management
Ongoing monitoring, covenant compliance, and active portfolio management. Quarterly distributions for credit investors.
Capital Recycling & Growth
Repaid capital is reinvested within the fund term. Exit events for equity positions begin to materialise.
Orderly Wind-Down & Return
Remaining positions exited in orderly fashion. Capital returned to investors. 2-year extension available if required.
Interested in our strategies?
Speak directly with our team to assess fit with your investment objectives.