Alternative Investment Funds by Nippon India

    Where your investments are strategically nurtured in portfolios across diverse asset classes.

    We’re here to walk the talk with you

    24+

    Funds

    launched

    ₹8,500 Cr+

    of commitments

    raised since 2014

    10+ years

    of experience in

    the AIF space

    favicon
    Nippon India Alternative Investments

    Bearing the imprints of a distinguished lineage and pedigree of Nippon Life Group, Japan, a 135-year-old conglomerate, and Nippon Life India Asset Management, we stand as one of India’s leading asset managers in Category II and Category III alternative investment funds.
    At the heart of our mission lies guiding you towards the alpha potential and providing you opportunities for wealth growth that are more tailored, varied, discrete, and easy to execute.

    Where legacy meets innovation,
    diversity, and strategic depth

    favicon
    Nippon Life Group

    The insurance and financial service major serves as the promoter of Nippon India Alternative Investments and Nippon Life India Asset Management.

    Headquartered in Osaka, Japan, Nippon Life Group is a global force having reinforced its presence across Japan, North America, Europe, and other prominent Asian markets.

    The company leads Japan’s private life insurance market, offering a diverse range of financial products through its multi-dimensional distribution channels. Under its aegis, is a growing cohort of companies operating life insurance and asset management businesses and proactively forging synergies across various sectors all over the world.

    Global Network of Nippon
    Life Group

    India icon

    India

    • Nippon Life India Asset Management Ltd.
    United States of America icon

    United States of America

    • Nippon Life Group Company of America
    California, United States of America icon

    California, United States of America

    • Post Advisory Group, LLC
    • The TCW Group, Inc.
    Singapore icon

    Singapore

    • PT Asuransi Jiwa Sequis Life
    Thailand icon

    Thailand

    • Bangkok Life Assurance Public Company Limited
    China icon

    China

    • Great Wall Changsheng Life Insurance Co., Ltd.
    Australia icon

    Australia

    • MLC Limited
    Myanmar icon

    Myanmar

    • Grand Guardian Nippon Life Group Company Limited
    Nippon Life India Asset Management Ltd.
    Nippon Life Group Company of America
    Post Advisory Group, LLC
    The TCW Group, Inc.
    PT Asuransi Jiwa Sequis Life
    Bangkok Life Assurance Public Company Limited
    Great Wall Changsheng Life Insurance Co., Ltd.
    MLC Limited
    Grand Guardian Nippon Life Group Company Limited

    Alternative Investment Funds at a glance - An Industry overview

    Where investors are empowered through diversified and bespoke options beyond traditional avenues.

    Stepping into the present, the Alternative Investment Funds (AIF) industry stands at a convergence of innovation, diversification, and stability. With a robust growth rate, it paints a landscape rich in opportunities, offering a diverse palette across varied asset classes.
    The journey of alternative investment funds until now signifies more than just numbers—it's a testament to the industry's resilience and promise. The trajectory of AIFs in India has significantly evolved towards evolution, where diversification, meticulous risk management, regulatory compliance, global collaboration, and strategic focus collectively pave the way to sustainable returns.
    must 5

    A palette of

    possibilities

    Discover a symphony of diverse opportunities, from the alternative investment space, crafted for your enduring wealth creation.
    Focus asset classes

    Equity Offering

    In long-only equity, we empower your investments with a bottom-up stock-selection approach and sculpt portfolios that adhere to our proprietary ‘Must 5 Quality’ framework. 

    In long-only equity, we empower your investments with a bottom-up stock-selection approach and sculpt portfolios that adhere to our proprietary ‘Must 5 Quality’ framework. 

    Investments in high-quality
    listed Indian equities
    ₹4,000 Cr+ commitments raised
    across strategies
    10 different strategies designed for unique market opportunities
    Portfolio size of 20-30
    winning ideas
    in each
    strategy
    Nippon India Equity Opportunities AIF Scheme – 10
    Strategy name
    R.I.S.E.
    Benchmark
    NIFTY 500
    Target sector
    Diversified
    Lead
    Mr. Rahul Veera
    Co-manager
    Mr. Prashant Kutty
    Target market cap
    Multi Cap
    Nippon India Equity Opportunities AIF Scheme – 11
    Strategy name
    Empowered India
    Benchmark
    NIFTY 500
    Target sector
    Diversified
    Lead
    Mr. Rahul Veera
    Co-manager
    Mr. Prashant Kutty
    Target market cap
    Multi Cap

    Empowering your investments with operational excellence

    Focussed on guiding you on your path to the alpha, we delicately blend precision with care in every step. With a seasoned touch, we navigate the intricate landscape of alternative investments, offering you more than just wealth accumulation

    —we create crafted experiences.

    Our Approach

    Governance & Integrity
    Investments upheld by best governance practices with high standards for accountability, responsible stewardship, care, and diligence.
    Risk Management
    Investments are shielded by robust risk management practices, ensuring a resilient foundation for your wealth augmentation and management journey.
    Due Diligence
    Meticulously executed, each investment pool is examined, acknowledged for its robust potential, and aligned with your objectives.
    Transparency
    Your journey will be reassuring, fluid, and shall pave a smooth path towards your goals.

    What sets us apart?

    Consistent alpha generation vis a vis the benchmark in Public Equity space coupled with 60+ noteworthy exits in the RE Credit space, that set industry benchmarks. We believe in paving your capital appreciation journey, one step at a time.
    Backed by Nippon Life India Asset Management Limited and Nippon Life Insurance, Japan, a 135-year-old global conglomerate.
    An inherent attribute of staying true to the process to reach long-term goals with excellence since inception. This goes far beyond just being a mere strategy for us, it's a reminder that each step taken will bring us closer to meeting your aspirations.
    Diversified fund strategies and asset classes that complement in catering to varying risk tolerances and investment goals.
    Adept navigation of transactions that account for well-timed strategic executions across the project lifecycle.
    Even in extreme economic events, we were defined by our resilience.
    A track record of consistently delivering high-yielding avenues for a diversified and dependable portfolio. With us, your portfolio is a collection of opportunities and a testament to an inspired path.
    An independent legal, risk control, and governance framework, that ensures a secure and transparent environment.

    Alternative perspectives

    Get acquainted with the latest industry foresight, updates, and company announcements.
    © 2025 Nippon Life India AIF Management Limited.