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Alternative Investment Fund

Samvitti Capital is the sponsor and investment manager to the Samvitti Capital Alpha Fund - A Category III AIF formed under the Securities and Exchange Board of India Alternative Investment Fund Regulations (2012) Samvitti Capital Alpha Fund – This is an open-ended long-short fund with monthly redemption which seeks to generate absolute returns by positioning itself on both the long and short side of the markets using various strategies.

  • Samvitti Capital Alpha Fund A SEBI registered Category III AIF - An open-ended long-short fund
  • Dynamic Fund Management Seeks to generate risk adjusted returns by positioning itself on both the long and short side of the markets using various strategies.
Fund Name: Samvitti Capital Alpha Fund
Category: Category III AIF
SEBI Regn No: IN/AIF/3/15-16/0182
Fund Manager: Mr. Athul Vasudeva Kudva

For fund documents and other fund information please contact Samvitti Capital Pvt Ltd at investor-relations@samvitticapital.com

Investor Charter & Disclosures

Official regulatory disclosures, statutory documents, and private placement memorandums.

Sebi COmplaints REdress System (SCORES)

Official regulatory portal link for grievance and dispute resolution.

Online Dispute Resolution Portal (Smart ODR)

Official regulatory portal link for grievance and dispute resolution.

Statutory Disclaimer

Investment in securities market are subject to market risks. Read all the related documents carefully before investing.

“Registration granted by SEBI, membership of BASL, and certification from NISM in no way guarantee performance of the PMS/AIF/RIA or provide any assurance of returns to investors”

There is no assurance or guarantee that the objectives of any of the strategies mentioned will be achieved. Investors are not being offered any guaranteed/assured returns. Past performance of the Portfolio manager/Investment Advisor does not indicate the future performance for any of the strategies. Performance related information provided herein is not verified by SEBI.

The names of the portfolios or schemes or investment vehicles do not in any manner indicate their prospects or return. The investments may not be suited to all categories of investors. Neither the promoters nor any person connected with it, accepts any liability arising from the use of this material. The Portfolio manager/Investment Advisor is not responsible for any loss or shortfall resulting from the operation of the strategy. Recipient shall understand that the aforementioned statements cannot disclose all the risks and characteristics.