Moravia Capital Asset Management
OUR SERVICES
Fund of Funds
At Moravia Capital, we offer a comprehensive investment solution that provides our clients with a simplified entry point into the dynamic world of Private Equity. Our Fund of Funds solution is specifically tailored for investors who are either new to this asset class or maintain a relatively modest allocation to Private Equity, all while accommodating lean in-house investment teams.
WHY CHOOSE OUR
FUND OF FUNDS SOLUTION?
Our Fund of Funds solution offers a host of advantages that make it an ideal choice for those looking to embark on or enhance their Private Equity journey.
Effortless Access to Private Equity and Venture Capital:
By investing in our existing Fund of Funds vehicle, clients can swiftly gain exposure to the Private Equity asset class without the substantial capital commitments typically associated with direct investments.
Smaller Ticket Sizes:
We believe in inclusivity. Our solution is designed to accommodate a wide range of investors, making it accessible even to those with more modest financial resources.

Cost-Effective Management:
We’re mindful of your bottom line. With our Fund of Funds solution, clients can benefit from reduced management costs, enabling them to optimize their returns.

Diversification and Streamlined Administration:
Diversification is the cornerstone of intelligent and impactful investing. Our Fund of Funds solution grants client’s access to a meticulously curated portfolio of funds, ensuring diversification across various private equity strategies, geographies, and stages.

Specializing in Small and Middle Markets:
We specialize in catering to the unique needs of investors interested in the small and middle markets. We recognize that these markets offer distinct opportunities and challenges, and our expertise in navigating them sets us apart.
OUR INVESTMENT STRATEGIES:
We offer two primary investment strategies:
GROWTH AND BUYOUT:
Our Growth and Buyout strategy is designed to capture value in mature companies by facilitating their expansion and transformation. This approach aims to maximize returns through strategic acquisitions and operational improvements.
VENTURE CAPITAL AND GROWTH:
For those seeking to tap into the innovation and growth potential of early-stage and emerging companies, our Venture Capital and Growth strategy provides access to high-potential startups. This strategy aligns with the dynamic nature of today’s entrepreneurial landscape.
We understand that Private Equity and Venture Capital are not one-size-fits-all. That’s why we offer tailored solutions, backed by our deep industry knowledge and commitment to delivering results. Our dedication to your financial success is unwavering, and we look forward to partnering with you on your investment journey.
Private Equity Funds
More-for-Africa (MOREFA) is an open-ended pan-African growth equity fund formed by Moravia Capital and RBN Fund Managers. It focuses on providing equity finance to growth-oriented ventures in Sub-Saharan Africa, emphasizing Energy, Agriculture, and Consumer Empowerment. MOREFA leverages Africa’s untapped potential in demographics, digital transformation, and sustainability to invest in climate change, social impact education, and technology for the next generation. It offers a strategic way for investors to diversify investments in a region poised for growth, driven by demographic shifts, technology adoption, and sustainability efforts.
FOCUS SECTORS

ENERGY TRANSITION
Clean Energy Transition
Energy Software Stack
Efficiency Improvements

FOOD SECURITY
Sustainable Farming and limiting of Food Waste
Targeting Africa’s Food Shortage from the demand side
Water, Irrigation and Crop Optimization

CONSUMER EMPOWERMENT
Financial Technologies (FINTECH)
Education Access
Healthcare Availability
Responsibility
At Moravia Capital, sustainable investing is not just a buzzword; it’s our guiding principle. We firmly believe that incorporating Environmental, Social, and Governance (ESG) principles into every facet of our operations and investment decisions is non-negotiable. To us, the well-being of future generations is not a mere slogan; it’s a solemn commitment.
WHAT DOES ESG MEAN TO US?
Environmental:
We actively address climate change, champion sustainable energy solutions, and promote environmental responsibility.
Social:
Our dedication extends to upholding human rights, fostering diversity, ensuring consumer protection, and advocating for animal welfare.
Governance:
We place immense importance on sound management structures, nurturing positive employee relations, fair executive compensation, and equitable employee compensation.
Our focus is on sustainable ventures that make a difference. We channel our efforts into projects such as renewable energy, particularly in solar and wind sectors, as well as education and healthcare initiatives. These projects are strategically chosen for their potential to generate substantial positive social and environmental impacts. We hold ourselves accountable through diligent management practices and continuous staff training, ensuring that our clients, partners, and investors can trust in our unwavering commitment to ESG. We’re not content with meeting expectations; we aim to exceed them, all while maintaining robust and consistent revenue streams for the betterment of future generations.
IMPACT BEYOND ESG
At Moravia Capital, we are dedicated to making a lasting impact through our investment strategies. While we acknowledge the importance of Environmental, Social, and Governance (ESG) principles, our primary focus is on generating meaningful and measurable positive outcomes while still delivering strong financial returns.
Our approach is centered around projects that deliver tangible and positive social and environmental results. We carefully select opportunities with the potential to effect meaningful change, both in the communities we touch, and the world at large. We hold ourselves accountable through rigorous management practices and ongoing staff training, ensuring that our clients, partners, and investors can rely on our unwavering dedication to impact investing. We go beyond meeting expectations; we aim to exceed them while maintaining strong and consistent financial performance to contribute to a better future.

The Moravia Capital Group, aims to generate both financial returns and positive social and environmental impact.

Moravia Capital follows IRIS and King IV for Corporate Governance. It also incorporates IRIS+ for enhanced impact integration in decision-making, including due diligence. This strengthens investment integrity, resulting in measurable benefits across social, environmental, and financial aspects.

Moravia Capital aligns with the UN SDGs and focuses on Food Security and Energy Transition and Consumer Empowerment.

© 2023 by Moravia Capital Asset Management. Powered by All About Cloud
© 2023 by Moravia Capital Asset Management. Powered by All About Cloud