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In order to achieve our goal of generating superior absolute and
relative returns for our investors, we adhere to a unique and
disciplined investment strategy.
The core elements of the strategy for our fund-of-funds and
co-investment funds include:
Targeting best performers
We focus on partnering with premier private equity fund managers. Our
extensive experience, relationships, and due diligence process enable us
to work exclusively with superior buyout and venture capital
managers.
Experienced investment team
Our team has deep and long relationships within the private equity
community, which allow us to have superior judgment and access. Our team
has over 65 years of combined private equity experience managing some of
the leading private equity portfolios in the U.S.
Concentrated portfolios
We build concentrated portfolios in order to generate superior returns,
as diversified portfolios can often result in index-like performance.
However, we apply prudent diversification to ensure each portfolio is
not overly exposed to a particular macro or secular risk.
Qualitative and quantitative approach
We apply both a qualitative and quantitative approach to analyzing fund
investments and co-investments. Both elements are equally important to
our fund and co-investment selection process. We have developed a
thorough yet constantly evolving framework which blends together the
experiences our team has gathered over many years.
Resource to our investors
We are strongly committed to client service and therefore dedicated to
keeping the Firm and its investor base small. We work regularly with our
investors and their advisors on their private equity programs as needed.
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