Infrastructure as an Asset Class

Access pre-vetted, MNC-backed infrastructure projects with enhanced execution capability through our supply enablement platform designed for sophisticated capital allocation.

Target Returns: 16-20% IRR | Investment Horizon: 6-18 months | SEBI Regulated AIF Structure

Investment Thesis

The Opportunity

Enhanced Infrastructure Execution

India's ₹25 lakh crore MSME working capital gap creates project execution delays. Our supply enablement platform ensures reliable delivery for creditworthy contractors with confirmed MNC orders.

Infrastructure Growth Catalyst

India's infrastructure sector is projected to grow at 8% CAGR, reaching $280.6B by 2030. We're enabling reliable execution for the contractors delivering this massive expansion.

De-risked Revenue Streams

Unlike traditional SME lending, our investments are secured by payment obligations from blue-chip MNCs, not contractor balance sheets.

Risk-Return Profile

Target IRR16-20%
Investment Duration6-18 months
Minimum Investment₹1 Crore
Fund StructureSEBI Regulated AIF
Capital ProtectionMNC Payment Security

Investment Architecture

Due Diligence

Proprietary vetting algorithm combined with human expertise evaluates contractor capability and MNC payment reliability.

Capital Deployment

AIF capital flows through SPVs into revenue-linked NCDs, providing contractors working capital against confirmed orders.

Real-time Monitoring

Continuous project oversight with automated milestone tracking and revenue collection via bank mandates.

Return Generation

Automated revenue share collection as MNCs pay contractors, generating predictable returns throughout project lifecycle.

Competitive Differentiation

Traditional Alternatives

Private Equity/VC

5-7 year lock-ins, illiquid, concentrated risk

Real Estate

High entry barriers, regulatory complexity, cyclical

Fixed Deposits/Bonds

Low returns, inflation erosion, limited upside

Stock Markets

Volatile, correlation risk, requires active management

Finverno Advantage

Short Duration, High Yield

6-18 month cycles with 16-20% IRR potential

Contract-secured Returns

Backed by verified MNC work orders and enhanced execution reliability

Portfolio Diversification

Uncorrelated to traditional asset classes

Technology-enabled Transparency

Real-time visibility into project execution and cash flows

Risk Framework

Credit Risk Mitigation

Focus on MNC counterparties with strong credit ratings. Payment obligations secured at contract level, not dependent on contractor solvency.

Portfolio Diversification

Spread investments across multiple contractors, industries, and project types. No single exposure exceeds risk concentration limits.

Operational Oversight

Continuous project monitoring through third-party PMCs. Early warning systems for milestone delays or quality issues.

Fund Structure & Terms

Investment Parameters

Fund TypeCategory II AIF
Minimum Commitment₹1 Crore
Fund Size₹100 Crore (Target)
Management Fee2% p.a.
Performance Fee20% above 12% hurdle

Regulatory Framework

SEBI Registration

Fully compliant Category II AIF structure

Custodian Services

SEBI-registered custodian for asset protection

Independent Oversight

Third-party fund administrator and auditor

Transparent Reporting

Monthly NAV updates, quarterly detailed reports

Ready to Explore Infrastructure Finance?

Join sophisticated investors in accessing India's infrastructure opportunity through our regulated, transparent platform.

For accredited investors only. Past performance does not guarantee future results.

Existing Investor?

Access your personalized investment dashboard to monitor portfolio performance, review fund statements, and track project updates.