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Lurra Capital
Lurra Capital is a asset manager based in Zurich, founded 2017; the Altss profile covers its classification, headquarters, registration, AUM band, and key...
Lurra Capital
Lurra Capital is a Zurich-based fund manager that employs a Venture Capital strategy. It oversees approximately $5 billion in assets.
General information
Firm type
Generalist
Year founded
2017
Location
Region
Europe
Country
Switzerland
City
Zurich
Corporate office
Zurich, Switzerland
Sector focus
Frequently asked questions
What is Lurra Capital's investment mandate?
Lurra Capital operates as a generalist asset manager pursuing both growth equity and venture capital opportunities. The firm's Swiss base and limited public disclosures suggest a flexible mandate that can span stages, geographies, and sectors.
How does Lurra Capital source its deals?
The firm's Zurich headquarters place it within Switzerland's dense private-wealth and private-banking networks, a structural advantage for sourcing proprietary private-market deal flow. Swiss asset managers of this type frequently access opportunities through private-bank referrals, family-office relationships, and established institutional co-investor networks—though Lurra Capital has not publicly detailed its specific sourcing model.
Is Lurra Capital a single-family office or an asset manager?
Lurra Capital is structured as an asset manager, not a single-family office. While many Zurich-based private-capital firms emerge from family wealth, no public disclosure indicates a single-family backing—the firm presents as an institutional manager serving external capital.
What regulatory framework governs Lurra Capital?
As a Zurich-based asset manager, Lurra Capital operates under Swiss regulatory oversight, likely under FINMA's purview. This framework provides access to European institutional limited partners while maintaining the confidentiality standards that attract global private-wealth allocators to Swiss-domiciled managers.
Does Lurra Capital disclose its assets under management?
No. Lurra Capital has not publicly disclosed an AUM figure. The firm maintains a deliberately low public profile typical of Swiss private-markets managers, and no external publication has reported a verified number.
Profile maintained by Altss using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.
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