INVESTMENT FUNDS.
— The best of value investing & private equity combined
WHAT MAKES US DIFFERENT
Private Equity mindset applied to listed markets
Attractive Pricing
Focused on acquiring stable businesses with recurring cash flow generation at very attractive valuation multiples.
We believe that an attractive entry valuation is one of the most powerful levers for long-term return generation.
A DIFFERENT PROCESS
Disciplined Private Equity Investment Process
Our experience as business owners allows us to understand company and sector dynamics.
We maintain minimal overlap with other fund portfolios.
DISCIPLINE
Flexibility to invest in the best investment opportunities at a global level.
Flexibility to invest across the capital structure (equities / bonds).
No pressure to invest: we can maintain a high level of liquidity.
RISK CONTROL
We have our own wealth invested and are willing to forgo returns to protect capital.
We do not invest unless we can numerically quantify the risk we are taking.
Attractive Pricing
Focused on acquiring stable businesses with recurring cash flow generation at very attractive valuation multiples.
We believe that an attractive entry valuation is one of the most powerful levers for long-term return generation.
A DIFFERENT PROCESS
Disciplined Private Equity Investment Process
Our experience as business owners allows us to understand company and sector dynamics.
We maintain minimal overlap with other fund portfolios.
DISCIPLINE
Flexibility to invest in the best investment opportunities at a global level.
Flexibility to invest across the capital structure (equities / bonds).
No pressure to invest: we can maintain a high level of liquidity.
RISK CONTROL
We have our own wealth invested and are willing to forgo returns to protect capital.
We do not invest unless we can numerically quantify the risk we are taking.
OUR FUNDS
LIFT Income Fund
The fund’s objective is to generate a recurring income by achieving medium-term capital appreciation through investments in global fixed income and equities.
Net Asset Value (NAV)
12,30 €
YTD
10,39%
Since Inception
23,04%
Portfolio Companies
97
FP5 Prudent PP
The fund is invested primarily in bonds, money market assets, and deposits, and secondarily in equities.
Net Asset Value (NAV)
11,31 €
YTD
5,01%
Rentabilidad desde inicio
0,20
Portfolio Companies


