We are building a diversified portfolio in agrofood, garment and footwear, construction materials, health, parapharmaceutical, real estate, alternative energy and IT with high potential to export or substitute import. We will follow an active investment approach by taking warranties like access to information and right to improve: sales, finance, HR, operations, governance and control policies and practices. In some cases we shall take board seats and active involvement in management by co- engaging with managers to improve performance and create market leaders. Investment philosophy is based on 5 pillars:

During due diligence we will diagnose based on the 5 pillars mentioned above and will select top three priorities to concentrate on and to create value for the business and for investors.
The Fund Management will be able to build up a portfolio of outstanding companies in Moldova, by spreading risks across different sectors, types of companies, types of entrepreneurs, and companies with different prospects but as well to leverage with commercial and grant/subsidies funding from market.