our approach

All of our investments are value driven, determined by a fundamental understanding of the opportunity. We are highly selective in our approach and never sacrifice quality for quantity.

We always have a clear understanding of the exit strategy and likely timeline. We are not affected by short term market volatility nor do we rely on excessive leverage to produce returns.

A cautious approach to acquisition is always taken and all of our proposed purchases are subjected to the scrutiny of our investment board.

Our process is simple:

  • Deal Generation
  • Analysis
  • Valuation
  • Market Context
  • Portfolio Position & Monitoring
  • Exit Strategy

We report on all assets under management quarterly.

Our fees are aligned with investor/shareholder assets under management and performance.

Our structure is uncomplicated yet robust.