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Building India’s Future

Kotak Infrastructure Investment Fund is India's premier credit fund dedicated exclusively to the infrastructure sector. The fund aims to capture the burgeoning opportunities within India's infrastructure landscape by providing an investment platform for marquee investors. Leveraging Kotak Group's rich legacy, scale, and deep expertise, the fund introduces a distinct investing approach covering operating assets across the traditional and emerging infrastructure spectrum.

Delivering Attractive
Returns

At Kotak, our legacy is about creating value for our investors. The fund embodies this principle by concentrating on niche opportunities within the infrastructure realm that remain unserved or underserved by traditional financiers. Our journey, which began actively in mid-2022, has seen us raise over
~ USD 640 million in commitments from global institutional investors. By focusing primarily on credit rather than equity or quasi-equity investments, we set ourselves apart in a crowded market, striving to deliver superior returns with lower risk.

Expanding Horizons in
Infrastructure Funding

We recognize the pivotal role of infrastructure as the cornerstone of India’s growth story. Leveraging our team's extensive expertise in investment structuring and deep understanding of India's intricate regulatory framework, we aim to guide our investments towards projects that yield sustainable and better risk-adjusted returns. Our approach is grounded in robust governance, disciplined investment practices, innovative technologies, and adherence to the highest ESG standards.

Our strength lies in our ability to navigate the complexities of infrastructure investing, balancing the pursuit of sustainable growth with the need for low-risk, high-return opportunities. Therefore, our strategy encompasses a dual focus: On the one hand, we emphasize growth investments in emerging sectors such as logistics, renewable energy, urban transportation, and transition fuels, reflecting our commitment to forward-thinking and sustainable investment, identifying niche opportunities in companies often underserved by conventional sources. On the other hand, we focus on revitalizing underperforming assets and rehabilitating balance sheets, providing much-needed exits to existing lenders and investors. Our balanced investment approach reiterates our commitment to building a diverse and resilient investment portfolio.

Our strategic vision for sustainable growth

  • Insight-Driven Investments:

    Combining regulatory insight and risk mitigation for sustainable returns.

  • Innovative & Ethical:

    Emphasizing innovative technologies with strict ESG adherence.

  • Focus on the Future

    Investing in niches to redefine India’s tomorrow - renewable energy, urban transport, and more.

  • Revitalize and Rehabilitate:

    Transforming underperforming assets, unlocking value for stakeholders.

Funds

CIIF (Core Infrastructure India Fund)

Sector focus:

Infrastructure; invested in renewable energy and
transportation

Vintage:

2013

Stage focus:

Growth

No of investments:

05

Amount:

USD 78 million

Exits:

04

KIIF (Kotak Infrastructure investment fund)

Sector focus:

Infrastructure (ESG)

Vintage:

2022

Stage focus:

Growth and stressed

No of investments:

01

Amount:

USD 664 million

Exits:

NIL

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