NIIF | Private Markets| Master Fund | India-Japan Fund (2024)

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We invest capital at scale through direct and indirect investments in infrastructure and Indian growth equity with a focus on long-term value creation

NIIF Master Fund

The NIIF Master Fund is one of largest India-focused infrastructure fund.

The Fund has been established with an aim to participate in the robust Indian infrastructure story which is projected to see investments of close to USD 1.5 trillion over the next decade. The fund’s strategy is to invest in high quality businesses / assets across different core infrastructure sectors.


Source

NIIF | Private Markets| Master Fund | India-Japan Fund (8)

Our Investment Strategy

In order to construct the right portfolio from a risk-reward standpoint, the fund would invest in a mix of operating as well as greenfield opportunities. We aim to do so by building scalable platforms across different sectors either by seeding our own management teams or by partnering with reputed and like-minded operating partners. Portfolio build up is targeted to achieve optimal balance across transportation, energy, digital, and urban sub-sectors.

Given our strong governance practices and understanding of the market, we view ourselves as a preferred partner to operating / financial partners looking to invest in Indian infrastructure. These partnerships have allowed us to participate in opportunities beyond our current scale and size.

Our Differentiators

  • Our understanding of the market

    We are an India-focused fund with considerable experience in investing and operating infrastructure assets. Our local presence has allowed us better coverage and understanding of opportunities.

  • Relationships with relevant stakeholders

    Given our parentage, we have been able to establish necessary relationships and have a continued dialogue with all the relevant stakeholders including regulatory bodies, lenders, line ministries.

  • Comprehensive investing solution

    By working with our investors and financial partners, we are able to consolidate investments for transactions that require a sizeable equity commitment.

our investments

Renewable Energy Platform (Ayana)
Ports and Logistics Platform (HIPL)
Smart meter platform (IntelliSmart)
Roads platform (Athaang Infrastructure)

National Investment and Infrastructure Fund is an Alternative Investment Fund registered with Securities and Exchange Board of India, referred to throughout this website as “NIIF Master Fund”.

NIIF FUND OF FUNDS

Our Private Markets business provides global institutional investors a unique platform to access India’s vibrant private assets market through a mix of third-party fund managers and high-quality co-investment opportunities. Our platform provides an entry point for investors that want to benefit from India’s long-term economic growth, underpinned by strong demographics, rising incomes and discretionary spending and drive towards sustainability, inclusion and digitalisation.

With our deep relationships across the Private Equity and Venture Capital industry in India, we focus on creating a diversified portfolio of investments for our investors by partnering with best-in-class managers across sectors and investment strategies. With a primary focus on growth capital, buy-out and venture capital strategies, our goal is to provide anchor capital to our fund managers to help them attract further institutional capital for their funds. Our investing program also includes generating high quality co-investment opportunities through our fund manager relationships to provide our investors additional access to co-investments in sectors and strategies of their choice.

NIIF | Private Markets| Master Fund | India-Japan Fund (9)

Our Investment Strategy

Our portfolio is carefully constructed to deliver a strong risk adjusted return with allocations across growth equity, buy-out and venture capital. We back both established and emerging fund managers with an unflinching focus on track record, team capabilities and alignment of interest, and their commitment to global standards of Environmental, Social and Governance (‘ESG’) and Diversity, Equity and Inclusion (‘DEI’). We are committed to implementing these principles across our fund investments and portfolio company investments to increase the adoption of these standards in India.

our investments

We have committed over US$550 million[1] across sectors and strategies. Our portfolio is currently a selection of 7 funds, through which we have exposure to 45+ portfolio companies. Brief details of our portfolio are as follows:

1. Commitments in US$ are provided based on exchange rate around the date of the commitment.

MID-MARKET GROWTH STRATEGIES India’s mid-market segment is one of the major drivers of its growth and development. Mid-market companies typically require significant amounts of capital for their growth and find it challenging to access debt from the banking system to fund their growth. This gap is filled by mid-market focused private equity funds providing risk capital, driving growth and generating employment MID-MARKET GROWTH STRATEGIES Multiples Private Equity Anchor commitment of INR 8,780 million (US$125 million) in Fund III of a leading PE manager With a strong track record of raising, deploying and realising returns for investors, the Multiples team has demonstrated the ability to partner with entrepreneurs and help them realise their vision of scaling companies. With the ability to spot trends early, Multiples has successfully built a diversified portfolio of strong companies for its investors. Lighthouse India Anchor commitment of INR 4,000 million (US$50m) in Fund IV of an established PE manager A clear investment thesis of supporting entrepreneurs for growing businesses in sectors such as consumer, healthcare, specialty manufacturing and digital transformation has led to the Lighthouse team generating strong returns for investors. The fund engages with the portfolio companies by enabling access to high quality talent and ideas, and strategic value-add. With investments across 25+ companies since 2006, the Lighthouse team has demonstrated success in raising, investing and realising capital. EverSource Capital An anchor commitment of INR 10,800 million (US$170 million) for a category-creating India-focused climate fund. We believe that India’s economic growth and climate action goals are complementary to each other. Recognizing the need for scalable climate mitigation solutions in India, we anchored the creation of India’s first sustainability and climate focused fund – Green Growth Equity Fund, along with Foreign Commonwealth and Development Office, UK. With strong experience in forming JVs with international sector experts to launch new fund strategies, Everstone has formed a joint venture with LightSource BP to form EverSource – the Investment Manager for GGEF. Today, we have ownership in leading businesses across sectors such as Utility Scale Renewable Energy, C&I focused Distributed Solar Energy, E-Mobility, Municipal Waste Management, and Waste-Water Treatment. These platforms are scaling up with the target to be among the top 5 players. Somerset Healthcare Backing a team of healthcare experts with INR 1,250 million (US$18 million) for Fund II of an affordable healthcare strategy. Healthcare has become one of India’s largest sectors, in terms of revenue as well as employment. With rising incomes, greater awareness and increased focus on health and wellness, there is a significant shift in the quality and approach in the healthcare space. This opens up investment opportunities across the sector, enabling affordable healthcare delivery for the large Indian population in tier 2 and tier 3 cities in a sustainable and profitable manner. Somerset Indus Healthcare India Fund is a fund focused on providing growth capital to small and medium enterprises in the healthcare sector. With the strong operational experience of its investment team and a compelling track record, the fund seeks to generate top-decile returns by investing into areas such as healthcare delivery, diagnostics and manufacturing and distribution of medical equipment and pharmaceuticals.
BUY-OUT/CONTROL STRATEGIES Control deals have the potential to deliver outperformance. However, successfully executing them requires a unique ‘owner’ mindset and firm-building skills. As the Indian private equity ecosystem matures, the demand for buyout / control capital is expected to increase, especially in the mid- market segment. This hitherto underserved segment with a limited number of experienced control investors, presents a clear and present opportunity for the right team. BUY-OUT/CONTROL STRATEGIES ARPWOOD PARTNERS Backing an experienced team with strong pedigree for their Fund I with INR 6,000 million (US$80 million). The Arpwood team comes with a strong pedigree, having previously worked at global buyout funds such as The Carlyle Group, TPG Capital and Goldman Sachs. By focusing solely on buyout / control deals and using their networks and experience to drive value for investors, the Arpwood team aims to acquire fundamentally strong businesses through situations such as ownership issues and bring in management teams that are capable of driving growth and profitability post acquisition.

NIIF | Private Markets| Master Fund | India-Japan Fund (10)

VENTURE CAPITAL STRATEGIES

Technology is a defining factor driving India’s transformation. A combination of talent, entrepreneurial mindset, government’s push towards digital adoption and availability of institutional capital has catapulted India’ s start up ecosystem to make it the third largest
globally[2] . Technology-focused Venture Capital funds provide investors with access to leading technologies in areas such as AI, Robotics, health-tech, climate-tech, cyber-security etc.

VENTURE CAPITAL STRATEGIES

NIIF | Private Markets| Master Fund | India-Japan Fund (11)

YOURNEST CAPITAL ADVISORS

Backing Fund III of a deep-tech and B2B SaaS-focused fund manager with INR 1,100 million (US$15 million)

The YourNest leadership team comes with complementary skill sets spanning business building, technology and leadership development – areas which are critical for successful investing in start-ups. With a track record of making, managing and realising investments from previous funds, the YourNest team has demonstrated the discipline of achieving strong distributions to investors.

CREDIT STRATEGIES We have selectively invested into a credit strategy focused on the affordable housing sector - an emerging segment of the residential real estate market in India. CREDIT STRATEGIES HDFC Capital Advisors A commitment of INR 6,600 million (US$100 million) to Fund II of a leading real estate manager focused on affordable housing Demand for quality affordable and mid-income housing in India has outstripped supply for decades. A key challenge for developers over the last decade has been the availability of capital that is focused on this segment. An exclusive investment program in partnership with HDFC and ADIA, HDFC Capital Affordable Real Estate Fund 2 focuses on providing structured debt solutions to real estate developers who are delivering affordable housing to the growing urban population. HDFC’s network and relationships provides unparalleled access to real estate projects for the fund. Managed by a team with exceptional track record of investing and realising returns for investors in both equity and debt strategies in Indian real estate, this fund has already realised approximately 1x of capital invested. Our investment is also driving the development of 75,000+ affordable and mid-income housing units across 6 cities in India.

NIIF Fund of Funds – Ⅰ is an Alternative Investment Fund registered with Securities and Exchange Board of India, referred to throughout this website as “NIIF Private Markets Fund”.


In line with our commitments of investing responsibly, our investments are geared towards generating strong financial returns for our investors and driving impact for economic and social development in India.

click below to see how we are also delivering impact through our investments

Impact report Compendium

NIIF STRATEGIC OPPORTUNITIES FUND

The NIIF direct growth equity fund, The NIIF Strategic Opportunities Fund (SOF) is one of the largest India-focused growth equity fund.

SOF has been established with the objective to provide long-term capital to high-growth future-ready businesses in India. The fund’s strategy is to build a portfolio of large entrepreneur-led or professionally managed domestic champions and unicorns. SOF seeks to drive accelerated value creation, leveraging the NIIF ecosystem and its unique network of shareholders and partners.

NIIF | Private Markets| Master Fund | India-Japan Fund (12)

OUR INVESTMENT STRATEGY

NIIF | Private Markets| Master Fund | India-Japan Fund (13)

SOF targets to invest in sectors that benefit from the changing business landscape in India as well as demonstrating intrinsic structural growth; excluding commoditized sectors, sectors lacking ESG orientation, and core infrastructure (which is invested by the NIIF Master Fund). Segmental leadership or leadership potential and sound corporate governance standards are important filters for portfolio company selection within SOF’s target sectors.

The fund invests through both active minority stakes and control-oriented/incubation deals. When investing in minority positions, SOF seeks to partner with entrepreneurs with a strong track record of value creation and robust governance and having a collaborative mindset. In control-oriented deals SOF aspires to invest in businesses managed by best-in-class management teams.

Our Differentiators

  • SOF is a classic growth equity fund that is commercially and professionally managed by an investment team with extensive growth equity investing experience across several cycles. The team will leverage NIIF’s unparalleled networks and scale in India, and its strong governance frameworks, thus targeting significant value creation beyond its capital at work.

  • SOF will target to create domestic champions, with large-ticket growth capital and through the institutionalization of business leadership, financial discipline, and operational excellence. For SOF’s investors, the positioning of its portfolio companies as segment leaders should provide multiple options for exit at premium valuations.

our investments

INFRASTRUCTURE DEBT - FINANCING PLATFORM
MANIPAL HOSPITALS

NIIF | Private Markets| Master Fund | India-Japan Fund (14)

INFRASTRUCTURE
DEBT -FINANCING PLATFORM

Vision

With significant investments in Infrastructure sector in coming years in India, there is a need for specialized infrastructure financing institutions providing debt finance to the sector at scale. We aim to build an AUM of over USD 10 billion over the next 5-6 years across greenfield, brownfield and refinancing of infrastructure debt through this investment.

Strategy and Approach

SOF is building a scalable integrated financial services platform to fill the gap via two complementary entities - NIIF Infrastructure Finance Limited (NIIF IFL) and Aseem Infrastructure Finance Limited (AIFL), both being non-banking finance companies. The two together constitute the NIIF Infrastructure Debt Financing Business.

SOF has invested equity at scale across these two companies to enable them to be one of the largest players in the Infrastructure Debt Financing space. We operate with strong management teams, with robust governance processes including Environment, Social and Governance (ESG) norms as part of their lending processes.

NIIF Infrastructure Finance Limited (NIIF IFL):

NIIF IFL provides takeout financing to operating infrastructure assets with satisfactory commercial operations, by refinancing loans originally taken for project development. This enables the original project financiers to recycle their capital.

SOF is the controlling shareholder in NIIF IFL which is now a leading NBFC-IDF (Infrastructure Debt fund) in the market. NIIF IFL is led by Sadashiv Rao, who has over 3 decades of experience in infrastructure debt finance.

To know more, please click here

Aseem Infrastructure Finance Limited (AIFL):

SOF incubated AIFL in 2020 to complement NIIF IFL and create an Infrastructure financing company that can lend across the project life cycle.

AIFL has since built out a strong management team led by Virender Pankaj, an infrastructure debt industry veteran and has already built a diversified portfolio across with an ambition to be among the largest players in the sector.

To know more, please click here

NIIF | Private Markets| Master Fund | India-Japan Fund (15)

NIIF | Private Markets| Master Fund | India-Japan Fund (16)

MANIPAL
HOSPITALS

Vision

SOF has invested in Manipal Hospitals with the objective of providing capital at scale which is a crucial requirement for the growth of any entity in this sector. SOF’s investment in Manipal Hospital is one of the largest PE investments in the country by a domestic fund.

Our Strategy and Approach

Broader outreach of quality healthcare services across the country continues to be a critical requirement in India. Manipal Hospitals is one of the leading hospital chains in the country, focused on tertiary and quaternary care. It is promoted by Dr Ranjan Pai, and the management team is led by Dilip Jose, a healthcare industry veteran of over 2 decades. It has built a strong foundation over decades in providing quality medical services and is well placed to now expand its services on a pan India basis.


SOF’s investment in Manipal Hospitals has enabled the company to consolidate with Columbia Asia Hospitals, another leading chain of hospitals in the country. Post consolidation, Manipal Hospitals has over 7,200 beds across 26 hospitals in 14 key Tier I/II markets in India – with a potential to nearly double revenues in the next 5 years. It will provide opportunities for the company to tap into large markets, expand related businesses such as pharmacy and diagnostics and also explore opportunities in the PPP segment.

National Investment and Infrastructure Fund II is an Alternative Investment Fund registered with Securities and Exchange Board of India, referred to throughout this website as “NIIF Strategic Opportunities Fund”.

India-Japan Fund

The India-Japan Fund ("IJF") is a private equity fund and NIIF’s first bilateral fund. The Fund is a strategic bilateral partnership between the Government of India (“GoI”) and Japan Bank for International Cooperation (“JBIC”), a Japanese public financial institution, both being anchor investors in the Fund. The Fund would invest in India in opportunities which would ensure environment preservation and look at opportunities to also participate with Japanese companies investing into India.

NIIF | Private Markets| Master Fund | India-Japan Fund (17)

OUR INVESTMENT STRATEGY

NIIF | Private Markets| Master Fund | India-Japan Fund (18)

The Fund’s investment strategy would largely be to invest, by way of primary investments, in sectors that focus on environmental preservation. This will include green sectors and traditionally high GHG emitting sectors who are proactively focusing low carbon emission strategy. Given that the theme cuts across sectors, the Fund would have a sector-agnostic strategy.

The Fund also intends to promote business collaboration between Japanese companies and Indian companies, including investing along with Japanese companies into India. This could be in the form of helping Japanese companies set up base in India, helping them execute strategic partnerships with Indian companies, co-investing with Japanese companies into Indian companies across sectors.

In order to further expand the Fund’s footprint into the target focus areas, the Fund would also evaluate investing in mid-sized climate-focused / low carbon emission strategy funds, which would enable the Fund to indirectly participate in a larger set of opportunities and thus be able to further catalyze capital into the segment

Our Differentiators

  • IJF has appointed JBIC IG Partners (JBIC IG), JBIC’s investment management arm, as a service provider to the Fund. JBIC IG has experience in fund management across Asia and Europe. Given its global presence, JBIC IG will be able to bring in global perspective and recommend best practices for investment evaluation and portfolio monitoring.

  • IJF will leverage the strong experience of both partners in investing, operating, and financial expertise with public and private companies.

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NIIF | Private Markets| Master Fund | India-Japan Fund (2024)

FAQs

Who are the investors in the NIIF? ›

Its investors include the Government of India, Abu Dhabi Investment Authority (ADIA), Temasek, Ontario Teachers' Pension Plan, AustralianSuper, CPP Investments, PSP Investments, US International Development Finance Corporation, and domestic institutional investors including HDFC Group, ICICI Bank, Kotak Mahindra Life, ...

What is the Niif of India sovereign wealth fund? ›

An institution anchored by the Government of India, NIIF is a collaborative investment platform for international and Indian investors with a mandate to invest equity capital in domestic infrastructure. NIIF benefits from its association with the Government yet is independent in its investment decisions.

What is the final close of NIIF Master fund? ›

December 21, 2020

These investments mark the fifth and Final Close of the NIIF Master Fund. The Fund has achieved a size of the INR equivalent of USD 2.34 billion, exceeding its target of USD 2.1 billion.

Who is the CEO of Niif IFL? ›

Overview. Shiva Rajaraman is the current CEO of NIIF IFL. He previously worked at L&T Infrastructure Finance Company Limited as a GM & Head - Strategic Initiatives & Structured Products.

Which is the largest infrastructure fund in India? ›

NIIF | India's Largest Domestic Infrastructure Fund.

Which infrastructure mutual fund is best? ›

Infrastructure
  • Kotak Infra & Econ Reform Dir Gr. Infrastructure. ...
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  • Invesco India Infrastructure Dir Gr. ...
  • Invesco India Infrastructure Dir IDCW-P. ...
  • Invesco India Infrastructure Dir IDCW-R. ...
  • ICICI Pru Infrastructure Dir Gr.

What is the world's largest sovereign wealth fund? ›

Norway is home to the biggest sovereign wealth fund globally, valued at nearly $1.4 trillion.

What is the world's oldest sovereign wealth fund? ›

The Kuwait Investment Authority (KIA) is the oldest sovereign wealth fund in the world. KIA traces its roots to the Kuwait Investment Board, which was established in 1953, eight years before Kuwait's independence.

Are sovereign wealth funds risky? ›

Institutional investors are facing a growing number of complex and interconnected challenges that pose global risks to their portfolios. Sovereign wealth funds (SWFs) are one type of institutional investor that must undertake strategies to mitigate these risks at both the institutional and portfolio level.

What happens when a fund closes down? ›

Liquidation involves the sale of all of a fund's assets and the distribution of the proceeds to the fund shareholders. At best, it means shareholders are forced to sell at a time, not of their choosing. At worst, it means shareholders suffer a loss and pay capital gains taxes too.

What happens when a MF closes? ›

If a mutual fund scheme winds up or closes, the assets of the scheme are liquidated. Following this, the proceeds are distributed to the unit holders in proportion to their holdings, based on the prevailing Net Asset Value (NAV) after deducting the relevant expenses.

What happens when a fund closes? ›

A closed fund may stop new investment either temporarily or permanently. Closed funds may allow no new investments or they may be closed only to new investors, allowing current investors to continue to buy more shares. Some funds may provide notice that they are liquidating or merging.

Who owns infrastructure investment fund? ›

The Infrastructure Investments Fund private investment vehicle advised by a dedicated infrastructure investment group within J.P. Morgan.

Who is the CEO of National infrastructure Investment Fund? ›

India's National Investment and Infrastructure Fund Ltd., a sovereign-linked alternative asset manager with approximately $5 billion in assets under management, has named Sanjiv Aggarwal as its CEO and managing director, effective in February.

Who is the MD and CEO of National Investment and Infrastructure Fund? ›

Sanjiv Aggarwal as Chief Executive Officer & Managing Director of NIIFL. The appointment follows a search process, conducted by NIIFL's Board of Directors. Mr. Aggarwal has significant experience in the infrastructure and energy sectors.

Who are the investors in the incubator fund? ›

An incubated fund is a fund that is first offered privately in an incubation period. Investors in this type of fund are usually employees associated with the fund and their family members. Hedge funds also commonly use incubated funds to test new strategies and offerings.

Who invests in sovereign wealth funds? ›

Non-commodity SWFs are typically funded by transfer of assets from official foreign exchange reserves, and in some cases from government budget surpluses and privatization revenues. Middle Eastern and Asian countries account for 77% of all SWFs.

Who are the investors in hedge funds? ›

Therefore, an investor in a hedge fund is commonly regarded as an accredited investor. This means that they meet a required minimum level of income or assets. Typical investors are institutional investors, such as pension funds and insurance companies, and wealthy individuals.

Who are the investors in mutual funds? ›

Mutual funds are ideal for investors who either lack large sums for investment, or for those who neither have the inclination nor the time to research the market, yet want to grow their wealth. The money collected in mutual funds is invested by professional fund managers in line with the scheme's stated objective.

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