
The fund will invest in profitable, growth-stage Indian companies with strong IPO potential within 24–36 months, targeting a 35% IRR through a disciplined pre-IPO investment strategy
New Delhi, June 1, 2026: Integrated financial services group, operating across asset management and strategic corporate advisory, Kyro Capital Private Limited today introduced the Kyro India Opportunities Fund – I – a SEBI Registered Category II Alternative Investment Fund (AIF) with a target corpus of ₹100 Crore. The Fund is sponsored by Kyro Capital, Kyro Group’s corporate advisory entity, and managed by Kyro Asset Management Private Limited, its dedicated investment management arm.
The fund targets high-conviction investments in profitable, growth-stage Indian companies with a clear IPO pathway within 24–36 months, targeting an IRR of 35% and delivering a premium liquidity event to its investors through a disciplined pre-IPO primary strategy.
Kyro was not built in Mumbai or Delhi. It was built in Indore. Mr. Aman Maheshwari, Founder & Managing Director of Kyro Capital and Kyro Asset Management, is an alumnus of the world’s most prestigious financial institutions – Goldman Sachs, JPMorgan Chase, and Nomura – where he worked across investment banking, capital markets, and structured finance. When the time came to build something of his own, he did not choose to stay in a financial metropolis. He chose to come home.
Mr. Aman Maheshwari, Founder & Managing Director, Kyro Capital & Kyro Asset Management said, “I have sat across the table in the boardrooms of global banks. I have seen how capital is deployed at the highest levels. My belief – then and now – is that the most compelling opportunity in the world today is right here in India, and specifically in the companies that are growing quietly, profitably, in sectors that are building the future of this nation. I wanted to bring the institutional rigour of a Goldman Sachs to the growth companies of India, and I wanted to do it from Indore.”
Kyro India Opportunities Fund – I: The Flagship
The fund is the first in a planned series under the India Opportunities platform – purpose-built to systematically identify, back, and exit from high-quality Indian companies on the cusp of public markets. The fund’s focus sectors are:
Energy & Power: Transmission, Renewables, Insulators, Solar, Energy Storage
Advanced Manufacturing: Aerospace & Defence Supply Chain
Consumer & FMCG: Category leaders with demonstrated brand moat
These are not sectors chosen at random. They are the sectors that are building India’s next decade – energy sovereignty, manufacturing scale, and consumption growth. These companies are profitable today. They are scaling for tomorrow. And they are largely invisible to global capital, sitting outside the noise of the large-cap market.




