A clear path to enhanced returns in profitable established companies across a variety of traditional market sectors.

Our Investment Strategy

Flexible Time Frame

Our strategy allows for a flexible approach tailored to each individual opportunity. We normally aim for an return on capital within a range of 2-3 years from our original investment which allows for a period of stability once the founding owners have left the business.

A clear path to exit

All our investments are undertaken with a clear exit strategy in mind, normally combined with a roll up in fragmented markets or merger with associated companies to provide enhanced returns gained from the result of a larger business entity.

 

Reduced Risk

Because we only work with established profitable companies that have a long history in their sector with historic returns over many years and experienced secondary management teams we can be assured that we mitigate the risks associated with younger businesses.

 

Debt and Equity

Many of our opportunities offer an Investor the choice of equity, debt or a mix of both depending on the risk profile and expectations of each individual partner.

‘The potential for above market returns in a stable investment environment’