About Company
1008 Bharat Growth Investment Management Pvt. Ltd.
1008 Bharat Growth Investment Management Pvt. Ltd. serves as the specialized institutional sponsor and dedicated investment manager responsible for executing the structural strategies of the trust. Based out of Mumbai's corporate hub, the firm orchestrates capital preservation models and proprietary market intelligence frameworks to manage wealth for high-net-worth individuals. The asset management firm targets long-term compounding by adhering to institutional-grade operational compliance, tactical alpha generation, and deep industry-level expertise.
Fund Snapshot
| Parameter | Details |
| Fund Name | 1008 Bharat Growth Trust |
| Regulatory Authority | Securities and Exchange Board of India (SEBI) |
| SEBI Registration Number | IN/AIF3/25-26/1864 |
| Fund Category | Alternative Investment Fund (AIF) Category III |
| Registration Date | July 29, 2025 |
| Registered Address | 502, The Summit Business Bay, Andheri Kurla Road, Near Cinemax, Andheri East, Chakala MIDC, Mumbai, Maharashtra, 400093 |
| Key Contact Person | Rajen Gada |
| Minimum Investment | ₹1 Crore (Standard SEBI threshold for Category III AIFs) |
Fund Purpose
The primary objective of the 1008 Bharat Growth Trust is to act as a high-conviction, pooled investment vehicle that capitalizes on India’s structural macroeconomic growth. Operating as a SEBI-registered Category III Alternative Investment Fund, it is designed to optimize wealth generation for sophisticated investors, high-net-worth individuals, and institutional participants. The fund leverages complex trading strategies, including investment in listed equities, derivatives, and pre-IPO instruments, aiming to capture alpha and deliver superior risk-adjusted returns across fluctuating market cycles.
Fund Philosophy
High-Alpha Growth Strategies
The fund focuses heavily on identifying high-potential market leaders and sector-disrupting enterprises aligned with India's long-term economic expansion. By utilizing a flexible mandate, the investment strategy seeks asymmetric returns through deeply researched, concentrated portfolio choices.
Dynamic Asset Allocation
As a Category III vehicle, the fund actively manages capital allocation across various financial instruments, including equities, structural debt, and regulatory derivative products. This multi-layered allocation helps the fund pivot smoothly between aggressive growth options and tactical market hedging.
Rigorous Research Architecture
Investment decisions are dictated by deep, data-driven fundamental and quantitative research. By scanning systemic market trends, underlying corporate governance, and balance sheet resilience, the fund mitigates speculative volatility and maintains high-conviction entry positions.
Comprehensive Risk Mitigation
Capturing exponential growth demands disciplined risk guardrails. The fund employs structural risk management frameworks, automated stop-losses, and absolute return strategies designed to protect investor capital against sharp macroeconomic drawdowns and systemic shocks.
Continuous Compliance and Transparency
Operating under strict SEBI Category III provisions ensures that investor protection and portfolio visibility are never compromised. The trust enforces precise compliance protocols, ethical investment parameters, and ongoing reporting standards to match institutional expectations.
Learn about the experienced fund managers responsible for investment decisions, portfolio strategy, and long-term fund performance.
Rajen Gada
Rajen Gada acts as the Principal Officer and Chief Investment Officer (CIO) leading the strategic portfolio allocation and equity research divisions for the fund. With extensive tenure in institutional capital markets, corporate structuring, and public equity operations, he brings macro-driven insight to the investment desk. His financial background enables the firm to execute complex absolute-return models, maintain strict regulatory standards, and run rigorous due diligence on high-growth domestic assets.
Find answers to common questions about fund investments, performance, portfolio strategy, and investor services.
It is officially registered with the Securities and Exchange Board of India (SEBI) as a Category III Alternative Investment Fund (AIF), carrying the permanent registration number IN/AIF3/25-26/1864.
In absolute alignment with SEBI regulations governing Category III AIFs in India, the mandatory minimum subscription amount for any individual or corporate investor is ₹1 Crore.
The trust achieved its official regulatory clearance and permanent registration validity from SEBI on July 29, 2025.
Unlike Category I or II funds, a Category III AIF possesses a much broader operational mandate, enabling the investment team to participate in complex trading strategies, utilize leverage, hedge through derivatives, and buy listed or unlisted securities.
The legally registered office and official corporate headquarters of the trust are situated at 502, The Summit Business Bay, Andheri Kurla Road, Near Cinemax, Andheri East, Chakala MIDC, Mumbai, Maharashtra, 400093.
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Disclaimer: Investing in AIF, PMS, Gift City or Mutual Fund is subject to market risk. Please read the related documents carefully. Past performance does not guarantee future results and there is no assurance that the managed accounts will necessarily achieve their objectives. Actual portfolios may differ as a result of account size, client-imposed investment restrictions, the timing of client investments and market, economic, and individual company factors. We at ALTPORT do not guarantee any returns in the hands of investors, nor do we take any sort of accountability for the performance of the scheme.