Captea Markets is characterized by a fewer number of company transactions in favor of more intensive investments directly in the operating companies.
Through a high industry spread and long-term commitments as an investor, Captea Markets has a medium risk tolerance as an average risk classification, however the risk classification differs between different business areas.
Our investors have a 7-10 years investment horizon in their placements. All investors in Captea Markets share the same belief – that good wealth protection and a solid wealth development in mid-cap investments are based on a long-term business development with great commitment and a high understanding of what drives sustainable shareholder values.