Who We Are?
Sorigin Green Solutions Fund (SEBI-registered AIF Category II) is part of the Sorigin Group, having 6+ GW track record in renewable energy project development and operations. Backed by a marquee sponsor with over three decades of renewable energy expertise, we are committed to advancing India’s sustainable energy future.
We are a differentiated platform focused on renewable energy, battery storage, electrification, and EV logistics, aiming to deliver superior risk-adjusted returns to our investors.
Sorigin Investment Management Services Pvt. Ltd. serves as the fund manager.
Our Edge
Our Differentiation
Diversified future-ready energy transition portfolio including solar, wind and EV logistics, with opportunistic allocation to stressed green assets.
Leveraging Group Expertise
Backed by an experienced team and credible sponsor with proven asset-management capabilities.
Structured Exit Strategy
Maximising value by choosing optimal exit routes and timely exits
Why Invest in
Sorigin Green Solutions Fund?
Strong risk-adjusted returns
Macro tailwinds in Indian renewables
ROI maximisation: Acquire → Improve → Refinance → Exit
Periodic coupons/dividends with long term capital gains on exit
ESG-driven, net-zero focused strategy
Why the opportunity exists?
SGSF has distinct advantage operating in niche market with strong deal flow, domain expertise & less competition
Capital Recycling
Selective asset disposals enabling deleveraging and reinvestment.
Segment Advantage
Attractive returns in underserved, lower-competition segments across the clean energy space.
Why the opportunity exists?
SGSF has distinct advantage operating in niche market with strong deal flow, domain expertise & less competition
Capital Recycling:
Selective asset disposals enabling deleveraging and reinvestment
Segment Advantage:
Attractive returns in underserved, lower-competition segments across the clean energy space.
Value creation model
Disciplined Acquisition:
- High-quality solar, wind and EV assets at target IRRs
- Including stressed assets with solid fundamentals and turnaround potential
Alpha Generation:
- Drive value creation through technical and financial engineering
- Enhancing operations, optimizing asset management and restructuring capital
Structured Exit Strategy:
- Asset aggregation aimed at future sales to InvITs or strategic buyers (4–5-year horizon)
- Targeting 3-4% annualized capital appreciation through structured exits
Smart Portfolio Strategy
Smart Asset Acquisition
Acquire high-quality operational renewables, EV infrastructure, stable PPA-backed projects, and select stressed assets with turnaround potential.
Financial Leveraging (Refinancing)
Selective refinancing, optimal capital structure, and prudent debt levels to enhance equity IRR.
Performance Enhancement
Deploy real-time analytics, predictive maintenance, and smart diagnostics across assets.
Timely Value Created at Exit
Choosing most optimal exit routes, including InvITs, secondary sales, or portfolio sales to PE investors and timing to unlock maximum value.
Smart Asset Acquisition
Acquire high-quality operational renewables, EV infrastructure, stable PPA-backed projects, and select stressed assets with turnaround potential.
Financial Leveraging (Refinancing)
Selective refinancing, optimal capital structure, and prudent debt levels to enhance equity IRR.
Performance Enhancement
Deploy real-time analytics, predictive maintenance, and smart diagnostics across assets.
Timely Value Created at Exit
Choosing most optimal exit routes, including InvITs, secondary sales, or portfolio sales to PE investors and timing to unlock maximum value.
