The Company's strategy is characterized by:
Stakes acquisition in companies with high growth potential at all stages of development: venture capital, development capital, block trades and recoveries;
Significant stakes, which confer a strong position to negotiate the terms of entry, greater control over the management and a strong influence on the timing and manner of exit;
A systematic intervention in the management of the Target Companies; representation of the Company at the board of the Target Companies or, more generally, advice and support of management teams;
A willingness to prepare an IPO for stakes in non listed companies to maximize investment returns and increase the liquidity of these stakes.
A dynamic portfolio management: the average holding period of investment is between 3 and 5 years.
Investment sectors
The Company has a clear focus on following sectors:
Geographical areas
The company invests mainly in Europe and emerging countries.
Investment Strategy
Invest in companies with high growth potential in all these sectors and this, whatever their stage of development, in order to help them to become market leaders.
Investment Size
Investment range from 2 million to 30 million Euros in companies with turnover between 3 million to 500 million Euros.
In some specific c ases, the Company may invest bigger amounts in the limit of 100 million Euros.
Establishment of a diversified portfolio
The Company aims to build a diversified portfolio by sector and by stage with high return rates potential throughout the economic cycle.
The Company seeks to invest alone or as a leader. In general, the Company holds significant stakes.
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