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Select the vehicle that best suits your profile based on your net worth and each fund’s investment strategy.

Invest in the three main Private Equity strategies: Growth, Real Assets, and Buyouts. Through a single investment, it provides access to a diversified private capital universe. This fund will have exposure to more than 15 underlying funds managed by leading Private Equity firms worldwide.

Fecha Closing date:
Until completion
Time Fund type: closed info
Multistrategy I
10.000€
Minimum investment info
10M€
Fund size info
2x*
Target net MOIC info
15%*
Net IRR info

Invest in the three main Private Equity strategies: Growth, Real Assets, and Buyouts. Through a single investment, it provides access to a diversified private capital universe. This fund will have exposure to more than 15 underlying funds managed by leading Private Equity firms worldwide.

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

A fund designed to provide retail and professional investors with access to one of the most dynamic and strategic areas of today’s private equity landscape. This vehicle enables participation in opportunistic GP-led and LP-led transactions within the secondary market, with a focus on developed markets.

Fecha Closing date:
Until completion
Time Fund type: closed info
Secondaries I
10.000€
Minimum investment info
25M€
Fund size info
x1,5*
Target net MOIC info
15%*
Net IRR info

A fund designed to provide retail and professional investors with access to one of the most dynamic and strategic areas of today’s private equity landscape. This vehicle enables participation in opportunistic GP-led and LP-led transactions within the secondary market, with a focus on developed markets.

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

Starting from investment commitments of 500,000 euros, Crescenta Private Equity Strategic Selection, SCR is designed for legal entities looking to invest their wealth efficiently, using a product traditionally reserved for large institutional investors. The SCR invests in a selection of 5 underlying Private Equity funds.

Fecha Closing date:
Time Fund type: closed info
Strategic Selection SCR
500.000€
Minimum investment info
10M€
Fund size info
1,8-2,3x*
Target net MOIC info
15%*
Net IRR info

Starting from investment commitments of 500,000 euros, Crescenta Private Equity Strategic Selection, SCR is designed for legal entities looking to invest their wealth efficiently, using a product traditionally reserved for large institutional investors. The SCR invests in a selection of 5 underlying Private Equity funds.

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

Invest in the megatrends that are defining and will define the world through an expert selection of funds. We design a portfolio that invests in a small number of leading funds specializing in private equity growth, tech buyouts, and secondary venture capital strategies. These funds invest in companies with high potential for appreciation, with highly recurring revenues and predictable cash flows, consolidated and scalable business models, and in advanced stages of growth, profitable or close to positive EBITDA.

Fecha Closing date:
Time Fund type: closed info
Growth III
10.000€
Minimum investment info
50M€
Fund size info
2,5x*
Target net MOIC info
18%*
Net IRR info

Invest in the megatrends that are defining and will define the world through an expert selection of funds. We design a portfolio that invests in a small number of leading funds specializing in private equity growth, tech buyouts, and secondary venture capital strategies. These funds invest in companies with high potential for appreciation, with highly recurring revenues and predictable cash flows, consolidated and scalable business models, and in advanced stages of growth, profitable or close to positive EBITDA.

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

This portfolio is a must-have fund selection for any investor interested in the most disruptive technology companies. It offers diversification, access to exclusive international funds and alpha, with expected returns well above public markets

Fecha Closing date:
Completed
Time Fund type: closed info
Growth II
1.403
Number of investors
2,5x
Target net MOIC
45M €
Fund size

This portfolio is a must-have fund selection for any investor interested in the most disruptive technology companies. It offers diversification, access to exclusive international funds and alpha, with expected returns well above public markets

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

It is a portfolio of funds that invests in the main international funds of the Private Equity Buyouts strategy. This strategy is dedicated to taking majority positions in mature companies and applies strategies focused on business growth through operational and financial improvements over an average period of 3 to 5 years.

Fecha Closing date:
Completed
Time Fund type: closed info
Buyouts II
1.597
Number of investors
x2*
Target net MOIC
60M€
Fund size

It is a portfolio of funds that invests in the main international funds of the Private Equity Buyouts strategy. This strategy is dedicated to taking majority positions in mature companies and applies strategies focused on business growth through operational and financial improvements over an average period of 3 to 5 years.

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

It invests primarily in infrastructure, real estate and energy, with a focus on the US market. Its objective is to generate returns through asset appreciation and the income streams they produce, offering diversification and inflation protection.

Fecha Closing date:
Completed
Time Fund type: closed info
Real Assets I
701
Number of investors
x1,5*
Target net MOIC
25M€
Fund size

It invests primarily in infrastructure, real estate and energy, with a focus on the US market. Its objective is to generate returns through asset appreciation and the income streams they produce, offering diversification and inflation protection.

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

Funds portfolio (fund of funds) with a main focus on Large Buyout top quartile-Flagship strategy funds: Cinven, EQT, Alpinvest, New Mountain... The fund consists of funds that mainly take majority positions (control position) in mature enterprises…

Fecha Closing date:
Completed
Time Fund type: closed info
Buyouts I
502
Number of investors
2x
Target net MOIC
30M €
Fund size

Funds portfolio (fund of funds) with a main focus on Large Buyout top quartile-Flagship strategy funds: Cinven, EQT, Alpinvest, New Mountain... The fund consists of funds that mainly take majority positions (control position) in mature enterprises…

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

This fund portfolio (fund of funds) invests in Private Equity Growth Global Top Tier funds: Insight and G Squared. The strategy is based on acquiring mainly European technology companies in their growth phase. It consists of funds...

Fecha Closing date:
Completed
Time Fund type: closed info
Growth I
336
Number of investors
2,5x
Target net MOIC
25M €
Fund size

This fund portfolio (fund of funds) invests in Private Equity Growth Global Top Tier funds: Insight and G Squared. The strategy is based on acquiring mainly European technology companies in their growth phase. It consists of funds...

*Target based on the simulated historical net return achieved by previous funds with the same strategy as the selected underlying funds and managed by the same manager as the selected underlying funds, under a conservative scenario. Reference period for the simulation: the entire duration of the previous funds (except those currently in the investment period at the time of analysis, which are not included for these purposes), in full twelve-month periods. Source of information: internally prepared based on information provided by the managers of the underlying funds. Past performance is not a reliable indicator of future results. More information on risks here

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Our team invests in every strategy we launch. This commitment, known in the industry as GP Commitment, exceeds 5%.
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