Multiples has adopted a sector agnostic strategy towards investing. Fund I has invested in themes around new-to-market opportunities, shareholder realignment / consolidation, corporate restructuring and business turnarounds. Multiples believes such situations enable the Team to provide a solution beyond just capital.
Multiples has built a portfolio of distinctive businesses where the fund has taken either a minority equity position or effected a management buyout. The one constant theme for all investments is that the fund is a long term investor with an ability to influence.
Post investment, Multiples’ approach is to play the role of a long-term partner and a sounding board for the entrepreneur / management. In addition to providing strategic guidance, the team at Multiples encourages the portfolio company to invest in professionalizing management, establishing good governance practices and implementing robust systems and processes.