Asset Manager

Updated:

ICICI Investment Management

ICICI Investment Management is a private equity firm based in Vadodara, India. It focuses on growth investments. The firm is a subsidiary of ICICI Group.

ICICI Investment Management

ICICI Investment Management is a private equity firm based in Vadodara, India. It focuses on growth investments. The firm is a subsidiary of ICICI Group.

General information

Firm type

Asset Manager

Year founded

2021

Frequently asked questions

Is ICICI Investment Management affiliated with ICICI Bank or the broader ICICI Group?

The website iciciinvestments.com carries no disclaimer, press release, or footer link confirming an affiliation with ICICI Bank, ICICI Prudential, or any regulated ICICI entity. Without a controlling-party disclosure or regulatory filing, an allocator cannot rely on any implied group relationship. The domain registrant is not publicly verifiable through the site itself.

What regulatory registration does ICICI Investment Management hold?

The firm's website contains no ADV, SEC, FCA, SEBI, or other regulatory-disclosure links. No CRD number, IARD identifier, or jurisdiction-specific registration is published. An institutional counterparty seeking to diligence the manager would need to locate a separate regulated entity filing before engagement.

Who runs investment decisions at ICICI Investment Management?

No investment committee, CIO, portfolio manager, or key-person bios appear on the firm's site or its only documented subpages. The absence of named individuals makes it impossible to assess investment experience, track record, or decision-making authority from public sources.

Does ICICI Investment Management disclose a track record or audited performance?

No GIPS-compliant presentations, tear sheets, fact cards, or audited financial statements are linked from iciciinvestments.com. Allocators cannot construct a performance history or verify claimed capabilities without direct manager engagement and disclosure.

What is ICICI Investment Management's known posture on co-investments or direct deals?

The public record contains zero references to co-investment vehicles, SPVs, club deals, or fund commitments. No GP or LP relationships are disclosed, and no deal announcements have been identified that would permit an assessment of sourcing or underwriting behavior.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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