Fuho Capital Management
About Fuho Capital Management
Fuho Capital Management is a Chinese private equity firm specializing in investments within the technology and consumer sectors. The firm manages assets totaling approximately CNY 800 million across various funds. Its investment strategy encompasses early-stage, growth, and late-stage investments, targeting companies in China, the United States, Europe, Southeast Asia, and other regions. Fuho Capital Management's portfolio spans a diverse array of industries, including technology, consumer goods, healthcare, financial services, and more. The firm is committed to delivering superior returns by leveraging its expertise and global network to identify and support high-potential companies across multiple sectors and stages of development. With a focus on both private equity and venture capital, Fuho Capital Management seeks to invest in companies that demonstrate strong growth potential and align with its strategic objectives. The firm's investment approach is characterized by a thorough evaluation process, active involvement in portfolio companies, and a commitment to fostering long-term value creation. By concentrating on technology and consumer sectors, Fuho Capital Management aims to capitalize on emerging trends and innovations that drive economic growth and consumer demand. Through its diversified investment portfolio and strategic partnerships, Fuho Capital Management continues to play a significant role in the private equity landscape, contributing to the success and expansion of its investee companies across various markets and industries.
Investment Mandate
Investment Stages3
Asset Classes2
Geographical Focus
African markets3
Other stated markets18
Requirements
Strong growth potential, Alignment with strategic objectives, Demonstrated innovation, Scalability, Experienced management team, Competitive market position, Clear exit strategy, Regulatory compliance, Sustainable business model, Positive cash flow, Market leadership potential, Proven track record, Scalable operations, Strong brand presence, Ability to adapt to market changes, Commitment to corporate governance, Financial stability, Operational efficiency, Commitment to environmental, social, and governance (ESG) principles, Ability to achieve profitability within a reasonable timeframe
Stated Portfolio20
As reported by the investor. 1 of 20 names match a profile on this platform and links through. The rest are printed as stated.
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