Our Fund Offerings

  • Fund Name : Azurean India Equity Fund 1 is the only fund that we are currently managing

  • Category : Category III AIF

  • Tenure : Open-Ended Scheme

  • First allotment date : 09 October 2024 is the first NAV day of the fund

  • Fund Manager : Mr. Sampath Reddy

  • Leverage & Derivative exposure : Fund does not intend to employ leverage and does not intend to have exposure to Derivatives

  • Investment Objective : Our objective is to deliver long-term capital appreciation for our investors by investing in a carefully selected portfolio of securities and instruments permitted under applicable regulations and our fund mandate. The fund is structured with a long-term horizon, aiming to compound capital through disciplined, fundamentals-driven investing.

  • Investment Philosophy : At Azurean, we invest in high-quality, growth-oriented companies that are available at reasonable valuations. Our philosophy is anchored in identifying businesses with Large and scalable growth businesses backed by Proven management teams. We seek to stay invested in these businesses over the long term, allowing compounding to work in our favor. Risk is managed through thoughtful portfolio diversification.

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Our Commitment to Investors

Your Success is
Our Focus

Experienced Investment Team
Our core investment professionals bring over 50 years of combined experience in equity research and fund management. More importantly, the team has worked together for over 16 years prior to founding Azurean.
Aligned and Committed
We manage a single fund — Azurean India Equity Fund I — allowing us to maintain complete focus and discipline. This fund invests across market capitalizations based on our in-house view, blending top-down and bottom-up insights.
To ensure full alignment with our investors, the fund’s sponsors have invested a substantial portion of their personal savings into the fund. This reflects our conviction and long-term commitment.
Salient features
The fund does not have Lock-in and does not have Exit load to the investors so that the fund offers ready liquidity to the investors.