Investors

Built for institutional capital.

OceansGled partners with institutional investors, family offices and sovereign allocators who share our conviction in science-led value creation.

Governance & Reporting

Quarterly reporting

ILPA-aligned reporting and capital account statements.

Valuation policy

Independent, documented valuation methodology reviewed annually.

Alignment

GP commitment alongside limited partners in every fund.

Service Providers
Fund Administrator
Disclosed to qualified investors on request
Auditor
Disclosed to qualified investors on request
Legal Counsel (Fund)
Disclosed to qualified investors on request
Legal Counsel (Transactions)
Disclosed to qualified investors on request
Banking Partner
Disclosed to qualified investors on request
LP Portal

Limited Partner access.

Reporting, capital statements and data room access for current limited partners.

Limited Partner Login →
DDQ

Due Diligence Questionnaire.

A comprehensive investor due diligence questionnaire, prepared to institutional standards, is available on request.

Request DDQ →
Responsible Investment

ESG Policy

OceansGled integrates environmental, social and governance considerations into diligence, monitoring and reporting. We apply sector-relevant materiality frameworks and engage portfolio companies on disclosure and improvement over the hold period. Full policy available to investors on request.

Conflicts of Interest Policy

We maintain a written conflicts policy covering cross-fund allocations, co-investments, and related-party transactions. Material conflicts are escalated to the Investment Committee and disclosed to the Limited Partner Advisory Committee where required. Full policy available to investors on request.

Data Protection

Investor and personal data are processed in accordance with GDPR, the India DPDP Act 2023, and other applicable regimes. Access is restricted on a need-to-know basis with documented vendor-management standards. Full policy available to investors on request.

Valuation Policy

Portfolio valuations follow IPEV guidelines, are prepared quarterly, and are reviewed annually by an independent third party. Methodology is documented and consistently applied across funds. Full policy available to investors on request.

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