
Plainview Emerging Growth Fund
Strategic Rational for High Growth Market Exposure
Year to Date Return 20.75%[1]
The Plainview Emerging Growth Fund is structured to harness the long-term structural growth of India, the world’s most populous democracy and one of the fastest-growing major economies. With GDP projected to expand at 6.4 percent in 2025[2] and a rising middle-class consumer base anticipated to exceed 500 million individuals by 2030[3], India presents a compelling investment landscape underpinned by sustained domestic demand, rapid digitization, and expanding infrastructure. The Fund is intentionally positioned to benefit from this transformation by allocating capital across a diversified blend of Indian equities, with an emphasis on mid- and small-cap companies exhibiting superior earnings growth, sectoral tailwinds, and scalable business models.
The portfolio is constructed to balance large-cap stability with mid-cap momentum and small-cap innovation, targeting companies in financial services, consumer products, technology, industrials, and healthcare that are poised to disproportionately benefit from India’s demographic and economic trajectory. In recognition of the unique complexities inherent in emerging markets, the Fund employs active currency risk management strategies to address INR/USD exchange rate volatility. These techniques are designed to preserve USD-denominated returns while maintaining exposure to the Indian growth story. The investment process is underpinned by bottom-up security selection, top-down macroeconomic analysis, and disciplined risk management, with the objective of generating asymmetric long-term capital appreciation for U.S. accredited investors.
Participation in the Fund is restricted to persons who satisfy the definition of an “accredited investor” under Rule 501(a) of Regulation D and who receive and execute the Fund’s confidential private placement memorandum, limited partnership agreement, and related subscription documents. No information herein constitutes an offer to sell or the solicitation of an offer to buy any security. Interests will be offered solely pursuant to the definitive offering documents, which will control in the event of any conflict with the information set forth herein.
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1. Year to Date is measured from Fund inception on May 1, 2025. Returns are calculated in U.S. dollars by the Fund’s third-party administrator, NAV Consulting, Inc., and reflect actual fund performance net of management and crystallized performance fees. Fund-level operating expenses, custody charges, taxes, and investor-specific costs are excluded. Monthly Time-Weighted Rate of Return (“TWRR”) represents the fund’s performance for the stated calendar month, independent of cash flows.
2. World Bank. (2024). India GDP Projections 2025. Retrieved from www.worldbank.org.
3. McKinsey & Company. (2023). India’s Emerging Middle Class: A Growth Engine for the Global Economy. Retrieved from https://www.mckinsey.com.