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GIFT City · IFSC · NRI Investing

GIFT IFSC Product Directory

GIFT City products are USD-denominated; under LRS quota for resident Indians; freely available for NRIs through their foreign bank accounts (FCNR/NRE-eligible varies per product).

Type
All typesAIF Cat IAIF Cat IIAIF Cat IIIPMSDirect equityDirect debtGIFT ETFGIFT FundOther
Eligibility
NRI eligible only
AUM
Any AUM< $50mn$50–500mn> $500mn
Lockup
Any lockup< 3 yrs3–5 yrs> 5 yrs
25 products

GIFT IFSC Registered Products

Data sourced from publicly available IFSCA registers and manager disclosures. AUM, min-ticket, and IRR figures marked — are not publicly disclosed. Verify directly with the IFSCA registry before any commitment.

ProductTypeAUM (USD)Min ticketTarget IRRLockupNRI eligibleRegulatorLast verifiedLink
360 ONE GIFT City AIF - Cat III360 ONE WAM (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
360 ONE GIFT City Equity Opportunities Fund360 ONE WAM (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Avendus GIFT City Absolute Return FundAvendus Capital (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Avendus GIFT City Enhanced Return FundAvendus Capital (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Axis GIFT City AIF - Cat IIIAxis AMC (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Bajaj Finserv GIFT City AIFBajaj Finserv AMC (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
DSP GIFT City Opportunistic FundDSP Investment Managers (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Edelweiss GIFT City AIF - Cat IIIEdelweiss Asset Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Franklin Templeton GIFT City AIFFranklin Templeton Asset Management India (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
HDFC GIFT City AIF - Cat IIIHDFC Asset Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
ICICI Pru GIFT City AIF - Cat IIIICICI Prudential AMC (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
ICICI Pru GIFT City India Equity FundICICI Prudential AMC (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
IIFL GIFT City Opportunities AIF - Cat IIIIIFL Asset Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Invesco India GIFT City AIFInvesco Asset Management India (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Kotak GIFT City Opportunities FundKotak Mahindra Asset Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Mirae Asset GIFT City AIF - Cat IIIMirae Asset Investment Managers (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Motilal Oswal GIFT City AIF - Cat IIIMotilal Oswal AMC (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Motilal Oswal GIFT City India Opportunities FundMotilal Oswal AMC (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Nippon India GIFT City AIF - Cat IIINippon India AMC (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
PGIM India GIFT City AIFPGIM India Asset Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Quant GIFT City Quantitative AIFQuant Money Managers (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
SBI GIFT City AIF - Cat IIISBI Funds Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Tata GIFT City Absolute Return AIFTata Asset Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
UTI GIFT City AIF - Cat IIIUTI Asset Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
WhiteOak GIFT City India Equity AIFWhiteOak Capital Management (GIFT)AIF Cat III$1.0mn3 yrsYesIFSCA2026-06-03
Column notes: Dashes (—) indicate the data point is not publicly disclosed by the manager. AUM for most GIFT IFSC funds is unreported — treat blank as unknown, not zero. Min ticket for AIF Cat III is typically USD 1mn per IFSCA regulations. Target IRR for Cat II private credit is manager-disclosed indicative return only. All data requires verification with the IFSCA FME register at ifsca.gov.in.

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DTAA CalculatorIndia treaty tax rates by country + income typeLRS Quota Tracker$250K annual remittance quota remainingNRI HubNRE / NRO / FCNR account overviewMutual FundsSEBI-regulated, INR-denominated funds

Education only. GIFT IFSC products are governed by IFSCA — a different regulatory regime from SEBI. NRI suitability depends on residency status under FEMA. Consult a qualified advisor. Data shown is from public IFSCA registers and managers' disclosures — verify directly with the IFSCA registry before any commitment. MintByte does not custody or execute GIFT IFSC products. MintByte is an AMFI-registered mutual fund distributor (ARN-314872) and APMI-registered portfolio management service distributor (APRN-01658). Not investment advice. Methodology · How we earn.