Asset Management


We invests in mid-market companies based in Russian and CIS. Our typical investment horizon is from two to five years, and our usual exit strategy is to execute a sale to a strategic investor or via an IPO. 

We focus on projects where our team can provide strong in-house added value, e.g. the financial sector, which is the focus of our new fund. Our team is one of the most experienced in Russia and the CIS in that sector, drawing from its experience in our first fund and from our principals’ prior track record at leading firms such as Credit Suisse and Renaissance Capital. 
Russia’s total foreign currency reserves – the third largest in the world (gained $94 bn from January 2010 to August 2011)