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Framework Capital
A PRIVATE INVESTMENT FIRM FOCUSED ON LOWER MIDDLE MARKET B2B BUSINESSES IN MANUFACTURING, INDUSTRIALS, DISTRIBUTION AND BUSINESS SERVICES.
Framework Capital
A PRIVATE INVESTMENT FIRM FOCUSED ON LOWER MIDDLE MARKET B2B BUSINESSES IN MANUFACTURING, INDUSTRIALS, DISTRIBUTION AND BUSINESS SERVICES.
General information
Firm type
Private Equity
Year founded
—
AUM
Undisclosed
Location
Region
North America
Country
United States
City
Houston
Corporate office
Houston, TX, United States
Sector focus
Frequently asked questions
How does Framework Capital structure its investments?
The firm organizes its holdings into distinct platform companies operating under vertical banners — Framework Transportation Safety, Framework Energy and Infrastructure, Framework Manufacturing, and Framework Composites — with one disclosed company per banner. This suggests a direct-ownership, hold-indefinitely posture rather than a classic fund cycle with defined exit horizons.
What is Framework Capital's typical investment size or revenue target?
Framework Capital states it targets lower middle market B2B businesses in manufacturing, industrials, distribution, and business services. Precise revenue or EBITDA thresholds are not publicly disclosed, and no transaction values have been reported for its current portfolio companies.
Does Framework Capital invest outside the United States?
All disclosed portfolio companies — Anew Industrial, Falls City E&P, Anthony Machine, and APS Plastics — are headquartered in Texas. Gibraltar's cable barrier systems have been installed internationally, but the firm's investment activity appears concentrated in the US Sunbelt.
Who makes investment decisions at Framework Capital?
Framework Capital does not publicly list any investment committee members, managing directors, or principals on its website or in available filings. The decision-making structure is not disclosed.
Does Framework Capital raise capital from outside investors?
The firm does not mention any limited partners, fund vehicles, or co-investors in publicly available materials. Its portfolio architecture — one operating company per vertical — is consistent with a single-family or principal-funded permanent capital model, but no source confirms this.
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