Our approach

Our ability to break free from prevailing trends and our entrepreneurial spirit have made us a European leader in the realm of alternative asset management.

Proximity and alignment with our client-investors’ interests are the key drivers of our growth, both in Europe and worldwide. Thanks to our strong economic base across three continents and our long-term strategy, Tikehau Capital is ideally positioned to meet the need for returns on investors’ savings and corporate financing.

  • Independence is a key value of the Group. It allows us to base our action on analyses, not trends, and avoid following the herd.
  • Our independence is reflected in a strong belief in our investment approach, and the significant resources we have allocated to our fundamental analysis of economic, financial and operational factors as well as environmental, social and governance (ESG) criteria.
  • For Tikehau Capital, choosing independence has consolidated its value and reputation in the alternative asset management industry year after year. This independence has enabled the Group to develop a business model that stands out due to its ability to allocate its capital in a relevant way, particularly across its four business lines, and consequently to do business in a flexible and sustainable manner.