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Private Markets.
LP Perspective. Global Reach.

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Derived from “alveus,” the Latin word for riverbed, Alveon Capital is built to guide the flow of capital. Alveon Capital is a principal investor, limited partner (LP), and specialist private markets allocator. We deploy capital globally alongside institutional investors, family offices, and sophisticated allocators, backing high-conviction managers and targeted direct investment opportunities across the world’s most consequential themes.

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Who We Are

Who We Are

Alveon Capital is a Singapore-headquartered private markets allocator (with presence in Hong Kong, Dubai, Japan, Korea, India, Australia) that co-invests with LPs in high-conviction opportunities across private equity, venture capital, private credit, and direct opportunities (primary/secondaries).

We sit on the same side of the table as our LP co-investors. We source, evaluate, and select managers and direct opportunities using our proprietary B.A.R.Q.™ framework, then work with co-investors to structure access, whether through pooled investment vehicles or direct allocations tailored to each LP’s mandate.

Our team brings over 45 years of combined experience as investors and operators at the intersection of capital deployment and technology go-to-market. We are Stanford-certified in Private Markets and M&A, with GP and investor experience in venture capital investments spanning pre-Series A to pre-IPO, including multiple successful exits.

Key Differentiators

LP-First Orientation

Every recommendation starts with LP's objectives, risk appetite, and liquidity constraints, not a GP’s fundraising timeline.

Operator-Investor Hybrid

We bring an operator-investor lens to manager selection, assessing each GP with a focus on strategic clarity, execution capability and value creation potential across the underlying portfolio.

Global Origination

Proprietary access to GPs and direct deals across US, Europe, India, Korea, Japan, Australia, and Southeast Asia.

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The Alveon Approach

The Alveon Approach

Manager Access Program (MAP)

The Alveon Manager Access Program (MAP) is our global allocation platform. Through MAP, we deploy capital alongside co-investors into high-conviction, sector-focused specialist managers and selected direct primary and secondary opportunities.

In 2026-28, MAP is collectively allocating ~USD3Bn across six themes that we believe represent the most compelling risk-adjusted opportunities in private markets today.

Theme

Program

Focus Areas

AI & Deep Tech

AD-MAP

AI infrastructure, applied AI, robotics, vertical SaaS, semiconductors, defence technology, manufacturing-tech, cybersecurity, developer tools.

Climate, Energy & Sustainability

Private Equity

CE-MAP

PE-MAP

Waste-to-energy, biofuels, renewable energy and technology, nuclear energy and technology, decarbonisation, energy storage, GRC/ESG software.

Lower-to-mid-market buyouts in insurance, healthcare, industrials, consumer, enterprise software, and manufacturing.

Private Credit

PC-MAP

Secured asset-based direct lending across the US, Asia, and Australia.

Media, Entertainment & Gaming

MEG-MAP

Content creation, interactive entertainment, gaming infrastructure, streaming platforms, and digital media technology.

Space & Defence Tech

SD-MAP

Satellite and launch systems, defence electronics, dual-use technology, space data analytics, and next-generation aerospace.

Geographic Allocation

MAP targets up to 50% allocation in the United States, with the balance deployed across Europe and Asia (including India, Southeast Asia, Japan, Korea, and Australia).

Access Structure

Alveon works with co-investors to provide access through two pathways: Pooled investment vehicles for LPs who prefer a structured, diversified allocation; and Direct access for investors whose mandates require specific exposure to individual managers or deals.

Our Methodology

Our Methodology

The B.A.R.Q.™ Framework

A Proprietary Lens for Manager Evaluation

Most LP due diligence focuses narrowly on returns. B.A.R.Q.™ is Alveon’s proprietary, cross-strategy evaluation framework designed to assess manager quality across four dimensions that together predict durable, repeatable performance. We score each GP per dimension and track scores over time to monitor consistency.

Dimension

Key Focus Areas

Why it Matters

Benchmarking

DPI/IRR versus vintage cohort, MOIC realisation, loss ratios. We look for top-quartile realisation metrics and strategy-specific scoring.

Enables cross-manager and cross-strategy comparison for genuine alpha identification.

Access

Pre-syndication visibility, anchor opportunities, and sourcing pathways. We seek direct access to under-the-radar GPs and flexible co-invest structuring.

Early LP entry translates to better terms and stronger GP relationships.

Rigor

Investment committee process, partner-level attribution, portfolio construction logic. We look for high kill rates, vintage pacing discipline, and DPI accountability.

Separates disciplined, process-driven managers from asset gatherers.

Quality

Team durability, value creation capability, GP-LP alignment. We evaluate GP commitment levels, decision-maker stability, and post-deal operational playbooks.

Durability of returns depends on stability of strategy and talent.

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Meet the Team

Meet the Team
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Get in touch 

Whether you’re an institutional investor exploring private markets allocation, a family office seeking co-investment opportunities, or a sophisticated allocator looking for differentiated access, we would welcome the opportunity to discuss how Alveon can support your objectives.

Headquarters: Singapore
Web: www.alveoncap.com

 

© 2025 by Alveon Capital Pte. Ltd. 

 

Anurag Srivastava

Managing Partner

anurag@alveoncap.com

+65 9147 2172

Sushant Sharma

Managing Partner

sushant@alveoncap.com

+65 9236 9763

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