Investment
Strategy
Plural Gestora de Ativos investment philosophy is grounded in the premise that the global asset market tends to be broadly “efficient” but is occasionally punctuated by by moments or segments of inefficiency, varying in degree and duration.
Plural Gestora de Ativos seeks investment opportunities in untapped market niches or those with some degree of inefficiency, supporting companies with strong management teams, value-added business models, and credible divestment strategies.
Process
Before investing, Plural Gestora de Ativos dedicates significant time and resources to deeply understand the fundamentals of potential acquisition targets, the quality and sustainability of their business models, and their potential for value-added growth.
Plural Gestora de Ativos invests across the capital structure of companies, aiming for a risk-adjusted potential return that incorporates a significant margin above the historical performance for the asset class in question.
Financial and operational partnerships
Over decades, Plural Gestora de Ativos has cultivated a network of financial and operational partners that not only provide access to exclusive investment opportunities but also credible support for the operational development of portfolio companies.
We collaborate with both national and international partners specializing in various investment verticals, supporting every stage of the investment process—from prospecting to final exit.
Investment model
Our investment strategy is built on a model that prioritizes the identification of unique or privileged opportunities, focuses on business development, and implements effective exit strategies.
We concentrate our efforts on transactions developed under exclusivity agreements. We actively seek unique businesses that other investors may overlook if we believe they have underlying growth potential.
Our mission is to accelerate the growth of the companies we acquire. We help our companies in achieving both organic growth and expansion through acquisitions.
We adopt a robust approach to fostering relationships between ourselves, the CEOs of our portfolio companies and our operational partners.
We support our portfolio companies in designing and implementing exit strategies that can maximize the value of the investment.
Sustainability
At Plural Gestora de Ativos, we consider Environmental, Social, and Governance (ESG) factors throughout the entire investment decision-making process and lifecycle.
We believe that robust and well-implemented ESG policies and practices directly contribute to the success and long-term sustainability of our portfolio companies.
When effectively implemented, ESG practices help protect and enhance reputation and financial performance while building stronger, more valuable companies that benefit all stakeholders—from employees to customers, suppliers to shareholders, and the broader community.
Environment
Our portfolio companies comply with environmental preservation and biodiversity requirements, energy and water efficiency, and other best environmental practices.
Society
Our portfolio companies adopt best practices in social responsibility, such as pay equity, diversity, work-life balance, fair trade, and more.
Corporate Governance
Our portfolio companies comply with best practices in corporate governance, including the separation of management and oversight functions, structured decision-making processes, and independent audits, among others.
We regularly review our approach to ESG to ensure it continues to reflect best practices.
Preferred sectors
Plural Gestora de Ativos prioritizes sectors where its strategy can be most effectively implemented, considering their markets potential for concentration and appreciation.
A capital-intensive sector with high returns in the energy transition towards a decarbonized economy.
A rapidly transforming sector towards solutions to promote biodiversity, soil management, waste utilization, and new sustainable distribution models, generating investment opportunities.
A sector with significant growth potential and opportunities for vertical and horizontal integration.
Key focus areas include artificial intelligence, cybersecurity, fintech, insurtech, biotech, and other high-tech and innovation-driven sectors.
Questions? Contact Us
If you have any questions about our investment products or the Residency Permit for Investors (RPI/ARI), contact our team.