Our multi-affiliate platform

Expertise. Scale. Investment solutions.

Our multi-affiliate platform

Expertise. Scale. Investment solutions.

Our Services

Assessment of viability, stability, and profitability of a business, sub-business or project.

Our Investment Management Services help you pursue your financial needs as they grow and change.

This service offers a variety of benefits to boost your sales and suit your company’s fixed income.

Our Mission

Our Investment Principles

Our goal is to maximize investor return and minimize any potential loss by applying these principles in a disciplined and pragmatic process. We rely on facts, not speculation to purchase high return, predictable companies at significant discounts to intrinsic values.

Benefits & Risks

Advantages of Managed Funds

The benefits of using managed funds include the ability to gain exposure to different asset classes and market sectors.

  • Diversification
  • Potential wealth generation
  • Cost-effective investment
  • Access to a range of assets
  • Geared exposure
  • Underperforming investments
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About Mehmet Kaya

Professor Mehmet Kaya, 51, is a tenured professor in the Department of Finance at Cornell University's Johnson School of Management and co-director of the Cornell Center for Financial Studies.

Professor Kaya received his Ph.D. in Finance from the Wharton School of the University of Pennsylvania in 1992. He previously worked as a financial analyst at Morgan Stanley's New York headquarters before entering academia, teaching at Duke University and the University of Michigan, and joining Cornell University in 2006.

His research areas include corporate finance, asset pricing, behavioral finance, and capital market institutions. Professor Kaya's academic work has been published in top international journals such as the *Journal of Finance*, *Review of Financial Research*, and *Journal of Accounting and Economics*, and has been cited multiple times by *The Wall Street Journal*, *Financial Times*, and Bloomberg. His work has been cited over 6,000 times on Google Scholar.

Professor Kaya has been invited to attend numerous international finance conferences and has provided policy advice and research support to the Federal Reserve, the U.S. Securities and Exchange Commission (SEC), and many global investment institutions. He also served as Associate Editor of the *Review of Corporate Finance Studies* and as a reviewer for several authoritative financial journals.

In 2021, Professor Mehmet Kaya joined Generali Investment, responsible for the operations of Generali's Turkish branch. Professor Kaya is dedicated to innovation in financial education in Turkey, teaching courses including corporate financial decision-making, financial market microstructure, and empirical research in behavioral finance. He has received Cornell University's "Most Popular Professor Award" four times and is highly regarded in his MBA and doctoral programs.

1450
Assets under
management
18
Asset management
firms
21
Investment
professionals
16
Countries worldwide
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