Tanami offers different investment products, each carefully built with your targets and goals in mind.
For capital that needs to stay available—without sitting idle. Liquid+ is built with flexibility in mind, offering a way to keep funds working while preserving access.
SmartMatch offers tailored private market portfolios aligned to your risk, return, and income needs—with the added flexibility of quarterly liquidity.
Handpicked access for those who prefer to choose. Select provides a set of carefully vetted investments, available for investors who want to take a more active role in where and how their capital is placed.
Across private asset classes, returns vary widely. The difference between top and bottom quartile managers isn't marginal—it's significant, and often persistent. Outperformance in this space is rarely accidental. It reflects process, discipline, and repeatability.
Manager selection plays a defining role in private market outcomes.
Access quarterly liquidity in asset classes that typically require long-term commitment. It’s a balanced approach—offering flexibility without compromising the investment process.
Private markets were once gated by high capital requirements. Tanami lowers the threshold, enabling meaningful participation without compromising on quality or structure.
Our fee structure is clear, straightforward, and aligned with long-term outcomes. There are no hidden layers or unnecessary complexity—just consistent, investor-first terms.
For investors who require it, Tanami offers the option to build a Shariah-Compliant portfolio without limiting broader access.
At Tanami, every opportunity is carefully selected—not simply listed. We follow a disciplined, multi-stage process that upholds institutional standards and reflects our commitment to quality over volume.
We look for funds with meaningful scale, experienced management, a proven track record, and clear alignment with our investment principles and strategies
A detailed performance analysis. We evaluate returns over multiple periods and economic cycles, assess risk-adjusted outcomes, and benchmark performance against peers. We also review cost structures to ensure the economics support long-term investor outcomes
We look beyond the numbers. We review the stability and expertise of the fund's management team, assess whether the strategy can scale, and evaluate the systems in place to manage capital and report to investors
Finally, every fund goes through a formal review by our investment committee. Only those that meet our standards—across governance, transparency, and operational fit—are approved and availed to our investors