By capitalizing on the wide-ranging expertise of Olga Korzenikova, our founder, including strategic management, operational effectiveness, human resources management, cost control and risk management, and sourcing and procurement services, we aim at expanding our investment horizons, by adhering to our ‘profit-invest-expand’ approach, whereby the generated profits from our Group subsidiary trading entities, Finaegis DMCC and Finaegis Marketing Management LLC, are used as investment capital for Finvest Investments LLC.
Individually, these businesses are generating returns for our investors and stockholders, but when they are paired, they create a powerful competitive advantage.
Business Model
Our business model is driven by both strategic investments and financial investments, in their respective fields of expertise. Strategic investments that aim at holding over the long term and focus on strategic sectors to build and optimize the portfolio. Financial investments that are driven by financial returns with a proper mix of products, services and solutions portfolios. At the same time, the close synergies potential in business alignment, further enhance value creation.
We pursue lower-to-moderate risk investment opportunities, structured either through asset-level investments or through structured investments in businesses owning these interests and/or related assets.
We focus on emerging, high-growth companies and invest across a variety of sub-segments across the Evolving Technology and Media Landscape, including Business Services, Digital Media, Content and Communications, Information Services, Software, Security, Semiconductors, Consumer Electronics, Internet of Things (IoT) and Blockchain Technologies. The projects are balanced between driving top-line growth, improving organizational efficiency, and optimizing capital productivity. We employ a flexible investment mandate and active risk management strategy complemented by industry expertise and the broader capabilities of our research analysts team.
Integrated Expertise and Analysis
We integrate expertise and analysis.
We are sourcing companies, projects and/or investment opportunities, and we focus on identifying the best ideas, conducting thorough due diligence, while responding fast to opportunities.
A deep knowledge of the companies and sectors in which we invest, mitigates our risk. We integrate expertise and analysis about emerging developments and trends in geopolitics, macroeconomics, demographics, energy and natural resource markets, technology, and trade policy, as well as environmental, social, and government (ESG) considerations.
The good credit quality of our subsidiaries reflects the Group’s growing earnings and cash flows, which generate substantial dividend income for the Group. It also means the subsidiaries need less capital injections.
We believe in building solid relationships, leading to positive outcomes and long fruitful relationships that will further enhance the Group’s subsidiaries ability to sustain their operating profit and margins (trends and growth) during the upturns and downturns of the business and economic cycles in stressed condition or difficult environments, their quality of earnings (trend, sustainability and potential growth), and the Group’s overall return on assets, as well as return on equity.
