About Company
Amicus India Capital Partners LLP
Amicus India Capital Partners LLP functions as the authorized corporate asset manager and investment advisory firm driving the deployment pipelines of the Amicus private equity funds. Operating out of Bangalore, the partnership manages an aggregate alternative asset base crossing USD 330 Million across its core fund vehicles. The firm integrates extensive multi-sector research, over a century of combined private equity execution experience, and comprehensive corporate finance expertise to locate, underwrite, and scale institutional-grade investment portfolios for sophisticated allocators.
Fund Snapshot
| Parameter | Details |
| Fund Name | Amicus Capital Partners India Fund I |
| Fund Category | Category II Alternative Investment Fund (AIF) |
| SEBI Registration Number | IN/AIF2/16-17/0253 |
| Investment Manager | Amicus India Capital Partners LLP |
| Target Segments | Fast-growing mid-market Indian enterprises |
| Core Sectors | Financial Services, Consumer, Pharma & Healthcare, Technology |
| Registered Address | Rocklines House, 3rd Floor, 9/1 Museum Road, Bangalore - 560001 |
Fund Purpose
The Amicus Capital Partners India Fund I was established as a specialized Category II Alternative Investment Fund designed to deploy growth-stage private equity capital into India's highly expansive middle market. The primary objective of this debut fund is to partner with fast-growing, capital-efficient businesses operating across sectors heavily influenced by technology, digital shifts, and expanding consumer markets. By providing strategic risk capital and hands-on operational scaling infrastructure, the fund transforms mid-market players into sector and sub-segment leaders while unlocking institutional value for global allocators, development institutions, and family offices.
Fund Philosophy
Growth-Stage Partnering Focus
The fund explicitly targets companies possessing a proven business model, sustainable cash generation capability, and deep runway for expansion. It avoids early-stage seed speculation and heavy public market dynamics, deploying instead into active mid-market enterprises looking to bridge operational gaps.
Hands-On Value Addition
The allocation approach relies on close-knit collaborations where the investment manager functions as a supportive business partner. Amicus provides active support across fundamental vectors including technological enhancements, corporate strategy restructuring, operational scaling, and inorganic M&A growth architectures.
High Digitalization Integration
The fund evaluates potential assets for their inherent capacity to adopt technology or digitize their existing supply lines. It prioritizes businesses that deploy tech platforms to increase margin efficiency, capture underserved regional consumer bases, and automate legacy middle-office work processes.
Strict Governance Standards
The underwriting philosophy establishes corporate compliance, operational transparency, and rigorous ESG (Environmental, Social, and Governance) values as non-negotiable baselines. The team actively builds advanced internal control structures and institutional governance reporting frameworks inside its portfolio entities.
Structural Interest Alignment
Deal structuring is executed with tight founder-investor economic alignment. By building balanced performance-linked milestones, clear down-round risk protections, and highly systematic exit pathways, the trust guarantees multi-year wealth creation while managing downstream capital liabilities.
Learn about the experienced fund managers responsible for investment decisions, portfolio strategy, and long-term fund performance.
Sunil Theckath Vasudevan
Mr. Sunil Theckath Vasudevan is a veteran private equity investment professional and co-founder who steers macro portfolio strategies, investment committee underwriting, and corporate advisory operations at Amicus India Capital Partners LLP. Bringing decades of senior institutional investing history and execution experience within Indian financial, industrial, and consumer markets, he directly oversees the firm’s regulatory compliance frameworks, investor relations, and capital deployment pacing to engineer consistent, risk-mitigated value across the platform's flagship funds.
Find answers to common questions about fund investments, performance, portfolio strategy, and investor services.
The scheme is registered and functions as an approved Category II Alternative Investment Fund (AIF) under Securities and Exchange Board of India regulations with the identifier IN/AIF2/16-17/0253.
The fund’s institutional capital base features prominent international development finance entities, including marquee backing from British International Investment (BII).
The maiden portfolio includes prominent growth investments across various target industries, including mCaffeine (Pep Technologies), Wonderchef, Rivaara Labs, and Berar Finance.
The investment mandate restricts deployment exclusively to companies headquartered in or deriving primary business operations from high-growth micro-markets within India.
The fund's internal compliance pipelines, legal reporting metrics, and SEBI filing requirements are supervised directly by a dedicated chief compliance officer working out of the Bangalore corporate headquarters.
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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.