Key figures

 

Investment portfolio

Tikehau Capital has built up a strong, balanced and diversified investment portfolio in terms of sector and geography, composed of assets with an attractive return potential. The assets of the Group's investment portfolio are classified in two categories: on the one hand, investments in strategies developed and managed by the Group (funds, co-investments, SPACs) and, on the other hand, ecosystem and direct investments (for example in funds managed by third parties).

As such, the Group invests consistently and as a priority within its own strategies. At the end of December 2023, 79% of the Group’s portfolio was invested in its strategies alongside its investor-clients. This guarantees a strong alignment of interests between Tikehau Capital and its investor-clients, and allows the Group to benefit from the performance of its funds and strategies.

Consolidated shareholders’ equity

A substantial and differentiating asset, the Group’s shareholders’ equity allows it to rapidly deploy new funds, accelerate investment in its platforms or strengthen them through external growth operations.