ABOUT
Cevidica Investment Partners LLC ("Cevidica") is a Registered Investment Advisor (CRD # 332587) registered in the State of New York. Cevidica provides investment advisory and related services for clients nationally. Cevidica will file and maintain all applicable registrations as required by the state securities regulators and/or the Securities and Exchange Commission (SEC), as applicable. Cevidica renders individualized responses to persons in a particular state only after complying with the state's regulatory requirements, or pursuant to an applicable state exemption or exclusion.
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Our leadership team comprises seasoned buy-side executives with extensive professional networks and expertise in underwriting, asset management, and deal sourcing. We have cultivated our skills at prominent investment firms spanning the market cycle, predating the Great Financial Crisis.
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We operate through mandate-driven arrangements exclusively tailored to discerning partners seeking opportunities in the credit, real asset, traditional venture capital, and private equity sectors.
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"Leveraging our wealth of experience refined in top-tier investment firms through all market cycle periods, we understand what it takes to attain financial success over the long term.
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We take pride in using our collective expertise and skills
to support our clients, empowering them to achieve success at every stage of their investment journey."
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Behzad Taufiq
Managing Principal


It starts with curating high-quality investment opportunities through a multifaceted origination process
Due to our network and relationships with prominent private equity firms, traditional asset managers, and intermediaries, we are uniquely positioned to selectively acquire assets and leverage external teams for the advantage of our partners.
Our partners gain from our capacity to internally discover opportunities, engage in co-investments, and participate in performing investments.
Thoughtful underwriting and structuring are vital to realizing robust returns
Our thorough underwriting process discerns investment risks by utilizing proprietary models and methodologies, third-party risk assessment tools, and independent market research.
We structure investments contingent on our evaluation of risks discovered during our underwriting process.


Oversight and reporting at every stage
Continual interaction with stakeholders and sponsors, including examining monthly financial data, is integral to our asset management protocol.
We conduct comprehensive quarterly reviews of investment performance, financial metrics, credit statistics, liquidity, and other pertinent data, which are then communicated to our partners.
By your side until returns materialize
Depending on the nature of the asset, we collaborate with external parties to maximize value upon exit.
In transactions involving amortization or receipt of a bullet payment, we partner with stakeholders to reinvest the capital returned.


Get to Know Us
Our goal is for clients to achieve top-tier returns, not through excessive risk-taking, but by safeguarding their capital and allocating it exclusively to investments meeting our stringent criteria.