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Fund geography
Emerging countries (256) / Asia (67) / South-Eastern Asia (21) / Myanmar (Burma) (1)
The Osiris Group is a boutique private equity firm scaling innovation in frontier markets. We are the financing engine for profitable disruption - intentionally building systems of the future, rather than the past. A top priority for the firm is allocating capital into investments leapfrogging long-term development, prosperity and growth. Pioneering impact investing in Asia, the Group integrates public policy, entrepreneurship and operational leadership, creating sovereign alpha while best capturing risk-adjusted growth returns.
Osiris Asia Impact Fund was incorporated on May 29, 2014 in Mauritius under the Mauritius Companies Act, 2007, as a public limited life company limited by shares holding a Category 1 Global Business License pursuant to the Act.
Asset class
Fund status
Fund style
Financial description
The Fund’s general portfolio will combine mark-to-market, generally liquid investments with long-term Private Investments that cannot be readily liquidated and will be carried at “fair value” necessarily determined by factors other than market prices (initially likely to be determined to be cost). Osiris expects all capital contributions to be invested initially in the liquid portfolio, until capital is allocated to the private portfolio, which the manager expects to comprise the majority of the Fund’s Investment Assets.
10 years
of track record
2014
the year funded
300,000,000 USD
AUM
Interested in this fund?
Log in or create an account to request more information.
Gain a deeper and comprehensive understanding of how this fund generates positive impact in the themes and SDGs that matter to you, with insights provided by our dedicated team of expert analysts, and receive notifications about new available impact products, exciting investment opportunities, and relevant updates in the world of impact investing.
Asset manager
SDG goals
SDG targets
Equal rights to ownership basic services technology and economic resources
Encourage companies to adopt sustainable practices and sustainability reporting
Ensure public access to information and protect fundamental freedoms
Universal access to sexual and reproductive care, family planning and education
Free primary and secondary education
Universal access to modern energy
Double the improvement in energy efficiency
Promote policies to support job creation and growing enterprises
Increase access to financial services and markets
Universal access to information and communications technology
Key performance indicators
Fund overview
Asset manager: The Osiris Group
Product track record: Fund has 10 years of track record
Target IRR: 25%
Committed Capital: 30,000,000 USD (US Dollar)
Target return category: Risk-adjusted market-rate of return
Fund domicile: Mauritius
Product status: Closed - no longer investing
Style/Stage: Early Stage, Growth Stage, Mezzanine Finance, PIPE/Re-Cap
Inception year: 2014
Vintage year: 2015
Target region: Asia, Emerging countries, Myanmar (Burma), South-Eastern Asia
Target close date: n.a.
Product term: Hybrid Crossover Fund
Assets under management: 300,000,000 USD (US Dollar)
Investment size: Min: 1,000,000; Max: 60,000,000; Avg: 10,000,000
Co-investment policy: Only with LPs
Currency of investments: USD (US Dollar)
Currency for fund / product figures: USD (US Dollar)
Fund investments to date: 5
Fund investments to date exited or repaid: 0
Management fee: 2%
Carried interest: 20%
Hurdle rate: Highwater%
GIIN Investors' Council Investment: No
Limited Partners / Investors: Ex-GS diaspora
Limited Partner / Investor Type: Family Office
Contact
E-mail: n.a.
Website: http://www.the-osiris-group.com
Phone number: +852 3512 3777
If you wish to have your details removed from this database please email gdpr@impactyield.com
Jason Bajaj
Co-Founder & Managing Partner
Impact Performance
n.a.
Impact thesis
Osiris will invest in companies with niche positions in young and expanding markets and/or companies with youthful and proficient management team.
The Fund is looking for market returns while seeking entrepreneurial solutions enhancing sovereign development, growth and prosperity.
The portfolio is divided into three categories - Supply Chain, Scalable Access and Ed-Med (Education and Healthcare). Supply chain is the basic manufacturing and logistics sector that allows for increased industrialization, exports and domestic employment opportunities. Each area focuses on a “seed of development” - local capital formation, job creation and productivity improvement. Scalable access allows for better domestic access to capital, investment products and ICT. ED-Med helps with improving local human capital, skill set and health.
Impact Management
n.a.