About Us

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
Number of Companies Holding
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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
Why
Nav Bharat ?
Backed by conviction, driven by insight — here's why founders and investors choose Nav Bharat.
Active Management
Real-time rebalancing and tactical calls
Emerging Market Expertise
Deep research and boots-on-the-ground diligence
Demonstrated Alpha
Significant outperformance across market cycles
Strong Alignment
Institutional-grade governance & sponsor skin-in-the-game
Our Portfolio Companies
Discover the innovative companies we've partnered with to drive growth and create lasting value.









