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Investor Charter

VentureX Fund I (Category I Alternative Investment Fund)

1. Vision & Mission

Vision: To uphold the highest standards of fiduciary responsibility, investor protection, and governance, while generating superior risk-adjusted returns for Contributors of VentureX Fund I.
Mission: To create long-term value by responsibly deploying capital into high-growth opportunities, exercising proactive stewardship over portfolio companies, and maintaining full compliance with SEBI (AIF) Regulations, 2012.

2. Services Provided to Investors

  • Provide onboarding support including KYC/CKYC verification, FATCA declarations, and contribution agreement execution.
  • Share the Private Placement Memorandum (PPM), Contribution Agreement, and all relevant Fund Documents prior to acceptance of commitment.
  • Issue Drawdown Notices with clear timelines, ensuring transparency in capital calls.
  • Provide quarterly and annual financial, valuation, and performance disclosures.
  • Share updates on fund corpus, investments, diversification, material risks impacting portfolio companies, and stewardship and voting activities undertaken by the Fund Manager.
  • Facilitate distribution of proceeds (cash or securities) in accordance with the Fund’s distribution waterfall.

3. Investor Rights

  • Access to Information: Complete details of Fund strategy, risks, expenses, and performance; quarterly disclosures including NAV, PIC, DPI, RVPI, and MOIC ratios; and annual audited financial statements.
  • Fair Treatment: Equal and non-discriminatory treatment for all investors in the same class of units; transparency in allocation of opportunities and expenses; differential rights only where contractually agreed.
  • Governance & Stewardship: Disclosure of voting policies and annual voting outcomes; oversight of portfolio companies by the Investment Manager; stewardship activities aligned to long-term investor interests.
  • Exit & Distribution: Timely and fair distribution of proceeds; pro-rata participation in liquidation; communication of exit timelines and strategies.
  • Grievance Redressal: Direct access to the Fund’s Grievance Redressal Officer (GRO); escalation to Trustee/Investment Committee if unresolved; final recourse through SEBI’s SCORES platform.

4. Investor Responsibilities

  • Review the Fund’s PPM, Contribution Agreement, and Investor Charter before committing capital.
  • Honor drawdown obligations within stipulated timelines.
  • Provide accurate and updated KYC/AML/FATCA/UBO documentation.
  • Acknowledge that AIF investments are long-term, illiquid, and high-risk.
  • Maintain confidentiality of Fund information.
  • Comply with give-back obligations if invoked for liabilities/expenses.

5. Fund Manager’s Commitments

  • Act in fiduciary capacity, prioritizing investor interests.
  • Make investments strictly in accordance with SEBI (AIF) Regulations and PPM objectives.
  • Exercise stewardship responsibilities by monitoring investee companies’ financials, governance, and promoter shareholding; exercising voting rights in the best interest of Contributors; and publicly disclosing the Fund’s voting policies and an annual voting summary.
  • Adhere to the Key Man Clause, with suspension and contributor approval requirements if key executives cease involvement.
  • Maintain segregation of Fund assets from Sponsor/Manager assets.
  • Disclose all conflicts of interest, related-party transactions, and material events promptly.

6. Performance & Reporting Standards

  • Quarterly Reports: Portfolio valuation and NAV; performance metrics (PIC, DPI, RVPI, MOIC); significant changes in portfolio, promoter holdings, or new institutional investors.
  • Annual Reports: Audited financial statements; compliance certificate from SEBI-registered auditors; stewardship report and voting disclosures.
  • Material Event Disclosures: Governance lapses or regulatory breaches in portfolio companies; key manager changes; suspension or substitution of Investment Manager.

7. Grievance Redressal Mechanism

  • Level 1: Submit complaints to the Fund’s Grievance Redressal Officer (GRO).
  • Level 2: If unresolved within 30 days, escalate to the Trustee/Investment Committee.
  • Level 3: If still unresolved, escalate to SEBI via SCORES (https://scores.gov.in/).

8. Regulatory Contact

For unresolved grievances:
Securities and Exchange Board of India (SEBI)
SEBI Bhavan, Plot No. C4-A, ‘G’ Block, Bandra-Kurla Complex, Bandra (East), Mumbai – 400051, India
Website: www.sebi.gov.in | SCORES: https://scores.gov.in

9. Review & Validity

  • This Investor Charter is effective from 23 July 2024 (SEBI registration date of VentureX Fund I) until the closure of the Fund and final distribution to Contributors.
  • It shall be reviewed annually or earlier, as required by SEBI guidelines or regulatory updates.

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Office Address: MiQB, Plot 23, Sector 18 Maruti, Industrial Development Area, Gurugram, Haryana 122015

Registered Office Address: 1001, Block G1B, Pocket-1, Phase-2, Samriddhi Apartments, Dwarka Sector-18B, New Delhi-110078

Email: help@alphaaif.com Phone: +91-93-1137-8001

Alpha Capital Pvt Ltd

Sponsor Name

CIN:U70200DL2023PTC419808
PAN:AAOCP0750H

VentureX Fund I

Fund Name

PAN:AAETV3779K
SEBI Regn No:IN/AIF1/24-25/1565

Planify Venture LLP

Investment Manager

PAN:ABEPF1917C
LLP Identification Number:ACC-6910
GSTIN:07ABEPF1917C1ZL

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