Guangzhou Baiyun Financial Holding Group
About Guangzhou Baiyun Financial Holding Group
Guangzhou Baiyun Financial Holding Group is a Chinese financial conglomerate engaged in a wide range of investment activities. The group focuses on sectors such as private equity, venture capital, real estate, infrastructure, fixed income, commodities, hedge funds, distressed and special situations, ESG and impact investing, crypto, and collectibles & art. It operates across various stages of investment, including pre-seed, seed, early stage, series A, series B, growth, late stage, pre-IPO, buyout, turnaround, and distressed investments. The group's geographical focus spans multiple countries, including China, the United States, the United Kingdom, Germany, France, Japan, South Korea, India, Australia, Brazil, Canada, Russia, South Africa, Mexico, Italy, Spain, the Netherlands, Sweden, Switzerland, and Singapore. Its investments cover a diverse array of industries, such as financial services, technology, healthcare, real estate, energy, consumer goods, telecommunications, transportation, media, education, retail, manufacturing, agriculture, construction, and utilities. The group typically invests between $1 million and $50 million in its portfolio companies. The group's investment philosophy emphasizes strategic growth and value creation across its diverse portfolio, aiming to achieve sustainable returns and foster innovation across various sectors and regions. Through its comprehensive investment approach, Guangzhou Baiyun Financial Holding Group seeks to contribute to the development and expansion of its investee companies, leveraging its extensive network and resources to support their growth and success. The group's track record reflects a commitment to excellence and a deep understanding of the markets in which it operates, positioning it as a significant player in the global investment landscape.
Investment Mandate
Investment Stages11
Asset Classes11
Geographical Focus
African markets1
Other stated markets19
Requirements
Strong growth potential, Innovative business models, Experienced management teams, Scalable operations, Clear exit strategies
Stated Portfolio20
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