Our investment strategy embraces a balanced approach to investing, relying upon a diversified mix of both stocks and bonds.
We currently invest in Asian, European, and North American companies across various sectors. We focus on quality of management and long-term growth prospects, favouring revenue growth, capital efficiency, and protective moats.
We typically invest in growth sectors or where consolidation is taking place. We invest in both performing and under performing companies, supporting buy and build strategies or rapid growth, and businesses undergoing significant operational or strategic change. The overriding guiding principle behind each investment is to achieve capital appreciation through EBITDA growth, primarily driven by revenue increases, achieved both organically and by acquisition.