
OVERVIEW
Oria Capital is a full-fledged wealth management company regulated by the Mauritius FSC under the CIS (Collective Investment Scheme) license No: GB24203420, Code: SEC-4.2; and the Global Business License No: GB24203420, Code: FS-4.1.
Oria Capital provides fund managment services on a discretionary mandate in relation to various lines of investment products, spanning from financial instruments (equities, bonds, structured notes, credit linked notes, etc.) to commodities and real estate products.
Oria Capital is dedicated to providing top-notch wealth management services, leveraging our profound understanding of global markets and investment trends. Our team offers strategic advice and identifies opportunities that yield maximum returns for our prestigious clientele.
VISION
Our vision is to set new standards in tailored investment management and legacy preservation.
By combining world class financial expertise with a sophisticated, high touch approach, Oria Capital is creating a new paradigm: a comprehensive wealth ecosystem serving multiple investment objectives under one umbrella that protects investor interests.
MISSION
Oria Capital is the trusted partner for clients demanding more than conventional wealth management.
Our approach is built on exclusivity, discretion, and a deep understanding of what matters most to investors.
With Oria Capital, the wealth is not just managed — it is elevated, preserved, and strategically positioned to create a lasting impact.
VALUES
Oria Capital is built on transparency, honesty, and ethical decision making, ensuring every relationship is founded on trust.
With a sophisticated service model, we ensure every client feels valued, empowered, and supported, providing solutions tailored to their aspirations.
We take a forward looking approach, helping clients anticipate shifts in the global financial landscape and capitalize on strategic opportunities.

OUR TEAM
AKSHIN ALIZADA
Founder / Chief Executive Officer
Akshin Alizada carries an experience of 20+ years in the legal and financial services domain. He holds a Masters’ Degree in Law from the London School of Economics and Political Sciences. His area of expertise includes capital markets, stock exchanges, commercial law, and corporate finance. While having a strong legal background, Mr. Alizada worked also in global organizations such as International Finance Corporation (the World Bank Group). Throughout his professional career Mr. Alizada was involved in a number of local legislative initiatives as an expert in athe corporate governance related legal framework. His core competency has been the commercial law, corporate finance, and capital markets. Mr. Alizada is presently the founder and director of a licensed multi-family office (MFO) management firm in Dubai World Trade Centre (UAE) serving a number of active UHNW clients.

NARAYANAN SAMBASIVAN
Director, Non-Executive
Narayanan Sambasivan is an experienced Risk and compliance professional with over 20+ years of experience. His mandates included risk and compliance coverage for funds, transactional services, company& Trust management services and Banking across 40 countries including 17 regulated markets. He was the Global Head of risk and compliance at Amicorp Group for 9 years which has multiple offices around the world. Prior to that he was vice president and Head of legal & Compliance at Credit Suisse. He was instrumental in setting up the centre of excellence for Credit Suisse across India, Poland, Singapore, and US for Legal & Compliance services. These units supported Investment banking, Private Banking and Asset Management business.

SHAAMAL BEEDA
Director
Shaamal Beeda is a Fellow of the Chartered Association of Certified Accountants (FCCA). He started his career as an external auditor at PwC (Mauritius) before joining Commodities Partners as a finance manager. He was engaged in calculation of weekly NAV, preparation of quarterly and annual financial statements for close-ended funds and SPVs. Mr Beeda worked on various projects in the mining industry in South Africa, Albania, Oman, Kenya, Namibia, Rwanda and China.

YUVRAJ BABOORAM
Director
Yuvraj Babooram holds a BA (Hons) Degree in Law and Management from the University of Mauritius and a Diploma in Offshore Finance and Administration granted by the Institute of Chartered Secretaries and Administrators (“ICSA”). He has been dealing with high-net-worth institutional clients, retailing outlets clients, private equity clients and involved in several assignments associated with corporate administrative and compliance tasks. Y.Babooram is well versed in MLRO/AML/CFT laws and regulations.

DAVE SEEBALUCK
Member of Investment Management Team
Devendra (Dave) Seebaluck is an experienced investment and finance professional with over 20 years of experience in the financial services industry. He holds a Master of Business Administration (MBA) and MSC in Investment and Finance from Middlesex University, London, United Kingdom.

SHARANPAL MARWAY
Client Service Officer
Sharanpal Marway is a highly experienced banking professional with a proven track record in wealth management and private banking. S.Marway has specialized in servicing VIP clients, sporting personalities, and UHNWIs. His work experience includes serving as a client service officer for EFG (Middle East), and an associate director with Julius Baer. Prior to that, he held various positions in retail and corporate banking at Barclays Bank (London, UK), ranging from personal banking officer to premier and relationship support manager.

VIKESH BULEE
MLRO Officer
