Social Impact Investing
Strategy and Operating Model
- Geographic focus: Europe
- Diversified portfolio with medium-long time horizon and exposure to the main European social impact funds
- Focus on growth companies that aim to create innovative solutions that generate measurable social and environmental change
- Co-investments with social impact
- Partnership with Human Foundation in order to develop a suitable methodology for the evaluation and measurement of social impact, at individual investment and portfolio level
Investment Solution
- Risk management and diversification: reduce investment risks by positioning in emerging sectors that limit their exposure to adverse environmental or social factors, capturing new trends
- Long-term financial return prospects: positioning in sectors with a high rate of innovation that present attractive financial return opportunities
- Sustainability and social responsibility: willingness to play an increasingly active role in financing solutions for current environmental and social challenges
- 4 exits on deal from underlying funds