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Premium Access AIF Category II

CapitaLand India RE Opportunities Fund

Distributed through AltPort Experts. Comprehensive fund documentation can be accessed through our research team.
Category AIF Category II
Company CapitaLand Investment India
Fund Managers Hardik Gesota
Share: f x in w

About Company

CapitaLand Investment India

CapitaLand Investment India (CLI India) serves as a premier real asset manager with vast expertise spanning the full institutional real estate value chain across the subcontinent. The corporation manages a sprawling portfolio encompassing over 40 distinct business IT parks, logistics parks, data centers, and premium lodging properties across major commercial gateway cities. CLI India implements highly specialized structural underwriting and asset management strategies, providing institutional asset allocators a transparent, process-led channel to access high-growth commercial property yield corridors.

Fund Snapshot

Parameter Details
Fund Name CapitaLand India RE Opportunities Fund
SEBI Registration No. IN/AIF2/25-26/2074
Fund Category Category II Alternative Investment Fund (AIF)
Investment Manager CapitaLand Investment India (CLI India) / Sach Advisors Framework
Target Segment Real estate real assets, premium commercial business parks, industrial warehouses, and institutional logistics hubs

Fund Purpose

The CapitaLand India RE Opportunities Fund is structurally engineered to capture high-yielding, institutional-grade real estate opportunities across major metropolitan growth corridors in India. By deploying flexible Category II investment capital, the fund targets the acquisition, repositioning, and development of Grade-A commercial real assets, high-capacity logistics networks, and premium business ecosystems. It bridges institutional global liquidity with local asset management execution to maximize long-term asset value and generate risk-adjusted yields for investors.

Fund Philosophy

High-Conviction Core Asset Capture

The fund maintains a disciplined focus on prime gateway locations with structurally durable tenant demand, ensuring early risk isolation and long-term commercial tenant retention.

Vertical Ecosystem Synergy

By leveraging the comprehensive operational scale of the parent organization, the fund directly optimizes architectural construction, leasing timelines, and real estate management strategies under a single framework.

Demographic Macro Acceleration

The investment choices prioritize asset classes driven by structural macroeconomic trends—such as the digital enterprise explosion, supply-chain localization, and institutional business-park scaling.

Proactive Value Creation

Rather than relying purely on generic market appreciation, the strategy aggressively focuses on proactive asset enhancements, technology modernizations, and green building adaptations to optimize net operating income.

Strict Risk Mitigation

By employing granular underwriting, extensive local asset diligence, and rigid risk control guidelines, the vehicle protects partner capital against cyclic real estate fluctuations and local macro headwinds.

Section: Fund Leadership
Meet the Fund Managers

Learn about the experienced fund managers responsible for investment decisions, portfolio strategy, and long-term fund performance.

Hardik Gesota

Hardik Gesota is an accomplished investment professional who serves as the Managing Director of Private Funds (India) at CapitaLand Investment. With deep expertise in real asset underwriting, opportunistic deal structures, and global capital deployment frameworks, he anchors the organization’s private fund allocation pathways across diverse geographic corridors. He specializes in building robust real estate vehicle frameworks, implementing structural risk-adjusted deployment metrics, and managing institutional equity assets to generate long-term value for international sovereign and pension funds.

Section: Help & Support
Frequently Asked Questions

Find answers to common questions about fund investments, performance, portfolio strategy, and investor services.

Q1: What category of Alternative Investment Fund is the CapitaLand India RE Opportunities Fund? +

A: The fund is fully registered with the Securities and Exchange Board of India (SEBI) as a closed-ended Category II Alternative Investment Fund (AIF) under registration identifier IN/AIF2/25-26/2074.

Q2: What asset classes does this fund primarily prioritize? +

A: The fund channels its equity allocations toward real estate real assets, emphasizing world-class Grade-A IT business parks, premium industrial spaces, cold-storage logistics, and modern digital infrastructures.

Q3: How does the fund unlock value from its real estate investments? +

A: It focuses on acquiring under-managed or development-ready spaces and transforming them through institutional property upgrading, optimized tenancy sourcing, and deep operational management alignment.

Q4: Who drives the underlying investment pipeline and operational execution? +

A: The fund utilizes the global asset platform and on-the-ground execution networks of CapitaLand Investment, which possesses extensive multi-decade real estate experience in India.

Q5: What is the standard regulatory minimum investment for entering this AIF? +

A: Under current SEBI AIF regulations, individual and institutional investors must fulfill a minimum ticket size requirement of ₹1 crore to acquire units in the scheme.

Section: Contact Us
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