
MCG Series I is MavenArk's flagship Category II AIF, combining the stability of performing credit with the upside of emerging equity. Built for investors seeking income with long-term value creation.
MCG Series I is a Category II Alternative Investment Fund designed for investors with a moderate to aggressive risk profile. The fund combines performing credit and equity exposure, aiming to deliver both regular income and long-term capital appreciation. It focuses on sectors that drive financial inclusion and real economic growth, such as NBFCs, fintechs, small and medium enterprises (SMEs), and other underserved areas of the BFSI ecosystem. This approach offers investors an opportunity to participate in India’s expanding credit and consumption story through a balanced and well-structured investment strategy.

Structured debt investments with proven repayment history, supported by deep credit analysis and hands-on portfolio oversight.

Equity investments focused on high-growth businesses within financial inclusion, SME lending, and BFSI-led sectors — offering scalable upside.
Microfinance
Financing small-ticket borrowers through trusted NBFCs and MFIs that enable credit access in underserved regions.
Affordable Housing
Investing in secured lending models where gold acts as reliable collateral, ensuring liquidity and lower credit risk.
Gold Loans
Investing in secured lending models where gold acts as reliable collateral, ensuring liquidity and lower credit risk.
SME Finance
Backing NBFCs that finance two-wheelers, commercial vehicles, and EVs in semi-urban and rural markets.
Vehicular Finance
Enabling capital flow to small and medium enterprises that form the backbone of employment and industrial growth.
MCG Series I aims to build a carefully curated portfolio of 10–12 companies operating across high-impact, BFSI-led sectors. The fund follows a dual-allocation strategy — with at least 51% invested in performing credit to generate stable monthly income, and up to 49% in emerging equity to capture long-term growth. This blend is designed to balance income consistency with capital appreciation, offering investors a structured path to participate in India's evolving financial landscape.
6 Years
Fund Tenure
1 Crore
Minimum Commitment
18 - 22 %
Target IRR
0.4 - 0.5%
Monthly Income
Regular Income
Monthly payouts designed for consistency
Diversified Exposure
Fund deployment across credit and growth equity
Impact-Driven
Focus on sectors that fuel inclusive growth

Explore strategies that combine performance, purpose, and product depth — managed by a team built for disciplined execution.
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