Our Investment Approach
Nexora Feeder Fund SPC is built around a defined and disciplined mandate that channels capital into sectors with durable, evidence-backed growth cases.
Our investment principle is straightforward: hold a defined mandate, apply it with consistency, and diversify only where the evidence supports it. That discipline underpins every allocation the fund makes, from established income-generating sectors to higher-conviction growth positions.
Where the fund is positioned
Four verticals selected for the strength of their growth case, not the breadth of the portfolio.




Growth Capital
Providing strategic capital to businesses and ventures with strong growth potential, helping them scale operations, enter new markets, and accelerate expansion.
Private Equity
Investing in high-potential businesses through equity participation, with a focus on long-term value creation and sustainable growth.
Structured Finance
Offering flexible financing solutions through carefully structured debt and equity instruments designed around specific investment opportunities.
Strategic Investments
Identifying and funding promising opportunities across established businesses, emerging ventures, infrastructure, and high-growth markets.
Five divisions, one structure
Each division plays a defined role some anchor stability, others carry the fund’s growth conviction.
How conviction becomes allocation
Each division plays a defined role some anchor stability, others carry the fund’s growth conviction.
Diverse investment channels
Capital allocated across listed and private markets through a balance of debt and equity instruments.
Unrestricted flexibility
A dynamic mandate lets the team explore markets and asset classes as conditions evolve.
Broad market engagement
Both on-market and off-market opportunities are pursued for flexible and efficient capital deployment.
Holistic real estate portfolio
Commercial, residential, retail, and hospitality assets sit within one diversified and balanced portfolio.
Asset turnaround strategy
Distressed corporate debt and equity pursued through structured restructuring and optimization.
Global investment exposure
Activity spans India, Mauritius, the Cayman Islands, the GCC, Africa and the United States.
Fund at a glance
Legal Counsel
Hampsons Corporate Limited
Investment outlook
Global diversified
Banking partner
SBM Ltd
Fund administrator
ONS FinServ Ltd.
Auditor
Moore Professional Services Ltd.
Regulatory Authority
Cayman Islands Monetary Authority (CIMA)
Average Assets Under Management
USD 700 Million
Active across Five Jurisdictions
India
Mauritius
Cayman Islands
UAE & All GCC
Africa
Speak with our investment team about allocation opportunities.
Request the current fund prospectus or schedule a call to discuss how Nexora fits your portfolio.
Industries we serve
Beyond our four core verticals, Nexora maintains targeted exposure across the industries underpinning global infrastructure and growth.