Risk & Return
Capital V is a manager of late stage technology investments and pre-IPO secondary positions and long term real estate fund.
At the heart of Capital V are Special Situation and Growth Opportunity Funds, designed to source potential investments from across the globe. These funds are mostly project-centred and are characterised with a risk/return profile at the higher end of the spectrum.
Our team analyses economic cycles, macro trends, technology shifts, pre-IPO space and market movements in order to identify the best available opportunities. Our recommendations rely on a disciplined research process coupled with in-depth due diligence.
Partner Funds
Capital V has a Fund of Fund strategy of investments, in order to provide the highest levels of customisation to our investors and enhancement of our primary funds.
Our Partner Funds are hand-picked and allow diversification in uncorrelated asset classes, in order to balance our Special Situation and Growth Opportunity Funds based on the risk/return profile of our clients.
This open architecture strategy allows us to offer best-in-class diversified investment solutions.
At Capital V we believe that investments have to be customised according to a multidisciplinary decision-making process.