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Premium Access AIF Category II

Adventz Keventers Real Estate Fund

Distributed through AltPort Experts. Comprehensive fund documentation can be accessed through our research team.
Category AIF Category II
Company Adventz Keventer Capital Advisors Private Limited
Fund Managers Mr. Akshay Poddar
Share: f x in w

About Company

Adventz Keventer Capital Advisors Private Limited

Adventz Keventer Capital Advisors Private Limited is an unlisted financial management firm incorporated in March 2025 and headquartered in New Delhi. The corporate entity functions as the specialized asset management company and investment manager for the group's alternative real estate fund pipelines. The firm combines the institutional capital management, multi-sector treasury expertise, and regulatory compliance infrastructure of the Adventz Group with the long-standing real estate development footprint of the Keventer Group to manage risk-mitigated property funds across India.

Fund Snapshot

Parameter Fund Details
SEBI Registration Number IN/AIF2/25-26/2001
Fund Category Category II Alternative Investment Fund (AIF)
Investment Manager Adventz Keventer Capital Advisors Private Limited
Fund Target Corpus ₹400 Crore (with an additional ₹200 Crore Greenshoe option)
Target Return (Hurdle Rate) 12% Internal Rate of Return (IRR)
Primary Structural Strategy Late-stage and premium residential asset deployment
Sponsoring Conglomerates Adventz Group & Keventer Group

Fund Purpose

The fund is organized to capture high-conviction growth opportunities within India's premium and luxury residential real estate sectors by providing structured development capital. By combining the strong balance sheets, industrial governance, and deep urban land banks of two leading diversified conglomerates, the vehicle funds large-scale, high-end residential townships and mixed-use projects designed to deliver secure, alpha-generating risk-adjusted returns to institutional stakeholders.

Fund Philosophy

Asset Identification and Selection

Capital deployment strictly targets premium, luxury, and high-potential mid-segment residential projects in high-growth corridors. The fund prioritizes locations with proven market absorption rates and significant long-term valuation upside, avoiding speculative land banking to ensure quick project velocity.

Execution and Delivery Precision

The core framework is built entirely around strict timeline adherence and institutional quality metrics. By utilizing the advanced construction infrastructure of its sponsoring partners, the fund systematically eliminates the completion risks and operational friction that traditionally disrupt real estate capital vehicles.

Dual-Legacy Trust Architecture

The underwriting framework relies directly on the institutional trust and corporate governance standards of the Adventz and Keventer groups. This structural alignment guarantees transparent capital tracking, robust financial discipline, and deep alignment of interest across every stage of the real estate lifecycle.

Consumer-Centric Design Focus

The investment philosophy dictates that every funded development must prioritize modern living, environmental sustainability, and regional community integration. Projects are thoroughly vetted to ensure they feature highly optimized spaces, world-class amenities, and forward-looking lifestyles that attract high-intent buyers.

Asymmetric Risk-Managed Allocation

Portfolio risk is mitigated by maintaining rigid allocation limits on individual projects and utilizing strict equity covenants. Every funding stage is closely tied to explicit construction milestones and independent project audits, protecting investor principal while capitalizing on major micro-market appreciation.

Section: Fund Leadership
Meet the Fund Managers

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

Mr. Akshay Poddar

Mr. Akshay Poddar is a prominent industrialist, corporate strategist, and investment director possessing extensive multi-sector experience leading massive manufacturing and infrastructure conglomerates across India. Serving as a Director at Adventz Keventer Capital Advisors Private Limited, he steers macro corporate governance, capital structuring frameworks, and cross-border investor relations for the firm. His deep background managing capital allocation in heavy engineering, fertilizers, and large-scale real estate joint ventures drives the structural transparency and financial discipline enforced across the alternative fund platform.

Section: Help & Support
Frequently Asked Questions

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

What is the legal regulatory identifier for the fund? +

The asset pooling vehicle is legally approved and registered under the Securities and Exchange Board of India (SEBI) as a Category II Alternative Investment Fund under registration number IN/AIF2/25-26/2001.

What is the overall capital size of this investment scheme? +

The primary scheme is anchored with a core target corpus of ₹400 Crore, carrying an additional ₹200 Crore greenshoe framework to optimize deployment capacity as scaling opportunities emerge.

What is the baseline hurdle rate targeted for the investors? +

The fund operates with a clear, institutional-grade preferred hurdle rate of 12% IRR, establishing clear commercial alignment between the investment managers and the capital allocators.

Which real estate market segments do the fund's assets target? +

The underlying capital is actively deployed across premium apartments, high-end ultra-luxury residential projects, and select strategic urban developments demonstrating robust end-user demand.

Where is the core investment management office based? +

The primary corporate operations and investment strategy headquarters for the alternative asset manager are run from its registered offices inside the Eldeco Centre in New Delhi.

Section: Contact Us
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