SGT Capital Fund II LP primarily invests in shares and other equity-related instruments with a primary focus on gaining control or co-control of target companies. Up to 20% of aggregate commitments may be invested in other instruments on an opportunistic basis.
Target companies will generally be middle-market companies. The fund intends to acquire between 8 and 12 target companies. A maximum of 25% of aggregate commitments may be invested in a single target company.
Key investment themes are:
The Fund will invest in developed economies in Europe and, to a lesser extent, in North America and Asia ex-China.
The Fund is looking to identify fundamentally sound and cash generative assets operating in markets with positive growth trajectory and well-defined value creation opportunities.
Priority sectors include:
Target companies may be acquired through a range of different transactions, including corporate carve-outs and take-private transactions (hostile acquisitions are excluded).
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