
At NAV, we’re not just investors—we’re wealth creators and nation builders.
NAV Capital, the prior fund domiciled in Singapore, manages approximately USD 150 million in assets under management (AUM) and has delivered a gross CAGR of 47% since inception. This performance underscores disciplined capital allocation, high-conviction investing, and the ability to generate consistent returns across market cycles.
NAV's investment strategy focuses on identifying and partnering with high-quality Indian promoters. The fund actively supports businesses through their pre-IPO transition and subsequent public market expansion, providing strategic guidance and capital to build scalable, governance-driven enterprises.
Our objective is to create a structured pathway for sustainable, long-term value creation — built on research depth, selective capital deployment, governance integrity, and strategic partnership.
Our Strategy in ActionAssets Under Management
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Trusted Capital, Proven Stewardship
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Diverse. Disciplined. Dynamic.
Anchor Investing - Mainboard & SME
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From Grassroots to Giants—We Anchor India's Growth Stories
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Sectoral Depth, Strategic Breadth
Backed by conviction, driven by insight — here's why founders and investors choose Nav Bharat.
Real-time rebalancing and tactical calls
Deep research and boots-on-the-ground diligence
Significant outperformance across market cycles
Institutional-grade governance & sponsor skin-in-the-game
Discover the innovative companies we've partnered with to drive growth and create lasting value.




















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