Key figures

 

Investment portfolio

Tikehau Capital has built up a solid, well-balanced investment portfolio that is diversified both geographically and sectorally, with assets offering attractive potential returns. The assets in the Group's investment portfolio fall into two categories: on the one hand, investments in strategies developed and managed by the Group (funds, co-investments or SPACs) and, on the other, direct and ecosystem investments (e.g. in funds managed by third parties).

As a result, the Group invests consistently and as a priority in its own strategies. By the end of December 2023, 79% of the Group's investment portfolio is invested in its own strategies, alongside its investor-clients. This ensures a strong alignment of interests between Tikehau Capital and its investor-clients, and enables the Group to benefit from the performance of its funds and strategies.

Consolidated shareholders' equity

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