Investment Philosophy
Deploying patient corporate balance sheet capital with a multi-decade holding horizon to build resilient, category-defining international businesses.
Patient Capital Horizon
Unlike traditional Private Equity funds bound by artificial 5 to 7 year exit cycles, Ozavian operates with a multi-decade holding timeline. We compound economic value through sustainable cash flow reinvestment.
Durable Economic Moats
We invest exclusively in businesses exhibiting high switching costs, proprietary software IP, regulatory accreditation barriers, or prime commercial asset backing.
Cross-Border Alignment
We unlock growth by bridging established European corporate governance and IP with high-volume growth corridors across the GCC, Southeast Asia, and West Africa.
Investment Criteria & Deal Profile
Target Financial Metrics
- Transaction Size: $5M to $50M per deal in equity or hybrid capital commitment.
- Revenue Profile: Minimum $3M ARR or positive EBITDA trajectory with high gross margins.
- Ownership Structure: Majority controlling stakes or substantial minority positions with board representation.
Strategic Fit & Value Add
- Sector Synergy: Direct alignment with Education, SaaS, Real Estate, or Clean Energy Infrastructure.
- International Expansion Readiness: Potential for rapid deployment in GCC or Southeast Asian markets.
- Leadership Alignment: Visionary founders or experienced management teams seeking long-term corporate backing.
Present an Investment Opportunity
We review corporate buyout proposals, joint venture opportunities, and strategic capital partnerships.