Spurgrowth Alternative Investment Trust

SEBI Registered Category II AIF – IN/AIF2/22-23/1099

Investor Awareness Note (For Eligible HNI & UHNI Investors Only)

Overview

Spurgrowth Alternative Investment Trust is a SEBI-registered Category II Alternative Investment Fund (AIF) established under the SEBI (Alternative Investment Funds) Regulations, 2012.

  • SEBI Registration Number: IN/AIF2/22-23/1099
  • AIF Category: Category II
  • Primary Strategy: Alternative Investment Strategies
  • Registration Year: FY 22-23
  • Regulatory Authority: Securities and Exchange Board of India (SEBI)

This page is intended purely for investor awareness and educational purposes for eligible High Net-Worth Individuals (HNI) and Ultra-High Net-Worth Individuals (UHNI) evaluating exposure to alternative investments through regulated private market structures.

SEBI Registration & Regulatory Classification

This fund is registered with the Securities and Exchange Board of India (SEBI) as a Category II Alternative Investment Fund (AIF) under the SEBI (Alternative Investment Funds) Regulations, 2012, bearing registration number IN/AIF2/22-23/1099, registered in FY 22-23.

Category II AIFs are private investment funds that do not fall under Category I or III and typically invest in real estate, private equity, or debt instruments without leverage.

Sponsor, Investment Platform & Key Leadership

Investment evaluation in an AIF typically begins with assessing the credibility, governance standards, and execution capability of the sponsor and investment manager.

Key Individuals Associated:

Muraleedharan Nair

Location: BANGALORE, KARNATAKA

Investors should independently verify current roles, regulatory disclosures, and track record through official fund documents and SEBI filings.

SEBI Registration Details

Registration No. IN/AIF2/22-23/1099
Country Code IN (India)
Category Code AIF2
FY Registered FY 22-23
Unique ID 1099

Fund Structure

Category Category II
From Jul 05, 2022
To Perpetual
Location BANGALORE, KARNATAKA

Investment Strategy & Portfolio Approach

Category II AIFs generally pursue regulated alternative investment strategies within the framework prescribed by SEBI.

Typical characteristics may include:

  • Professional management of alternative asset portfolios
  • Focus on long-term value creation and risk-adjusted returns
  • Medium- to long-term investment horizon aligned with asset class cycles
  • Exit through strategic sales, refinancing, or secondary market transactions

Actual portfolio composition, strategy details, and deployment status must be confirmed from the Private Placement Memorandum (PPM) and official investor communications.

Risk & Regulatory Considerations

As a SEBI-registered AIF, the fund is subject to:

  • Periodic regulatory reporting and compliance filings
  • Independent audit and valuation requirements
  • Disclosure of risks, conflicts, and governance structure within the PPM
  • Trustee and custodian oversight, where applicable

Key Risks:

  • Market volatility and asset class-specific risks
  • Liquidity constraints and extended exit timelines
  • Performance variability and capital loss potential
  • Regulatory, operational, and counterparty risks

Suitability for HNI & UHNI Investors

Exposure to a Category II AIF may be appropriate for investors who:

  • Seek portfolio diversification beyond traditional equity and debt instruments
  • Can allocate patient, long-duration capital with limited liquidity needs
  • Understand illiquidity, valuation variability, and cyclical market risks
  • Possess high risk tolerance and investment sophistication

Such investments may not be suitable for individuals requiring:

  • Short-term liquidity or emergency fund access
  • Capital protection or assured returns
  • Low-risk or income-guaranteed instruments

Key Documents to Review Before Investing

Prospective investors should carefully examine:

  • Private Placement Memorandum (PPM)
  • Latest investor factsheet, valuation, or performance report
  • SEBI registration confirmation and compliance status
  • Fee structure, tenure, drawdown schedule, and distribution waterfall
  • Auditor, trustee, and custodian disclosures

Independent consultation with financial, legal, and tax advisors is strongly recommended prior to any investment decision.

Legal Disclaimer – Investor Awareness Only

  • The SEBI registration number IN/AIF2/22-23/1099 signifies regulatory registration only and does not constitute endorsement, recommendation, or assurance of returns by SEBI.
  • This page is provided solely for informational and educational purposes for eligible HNI/UHNI investors.
  • Nothing contained herein should be construed as investment advice, solicitation, invitation, or offer to invest in any securities or fund.
  • Investments in Alternative Investment Funds involve market risk, liquidity risk, and potential loss of capital.
  • Past performance, if referenced, is not indicative of future results.
  • Investors must rely exclusively on official fund documentation and their independent professional advisors before making any investment commitment.