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Mazal Holding
Mazal Capital è un progetto strutturato nella forma del Club Deal che consente a investitori privati e imprenditori di partecipare attivamente ad un reale...
Mazal Holding
Mazal Capital è un progetto strutturato nella forma del Club Deal che consente a investitori privati e imprenditori di partecipare attivamente ad un reale programma di crescita di imprese ambiziose proiettate nel futuro.
General information
Firm type
Private Equity
Year founded
2021
AUM
Undisclosed
Location
Region
Europe
Country
Italy
City
Milan
Corporate office
Milan, Italy
Principals
Andrea Orsi
Partner
Simone Sinai
Partner
Massimo Giacomino
Partner
Frequently asked questions
Who runs investment decisions at Mazal Holding?
Three partners share investment and deal-execution responsibilities: Andrea Orsi (M&A and business development), Simone Sinai (equity capital markets and real-asset investing), and Massimo Giacomino (mid-market M&A, both domestic and cross-border). The firm lists no separate CIO or investment committee.
Is Mazal Holding structured as a fund or a holding company?
The firm describes itself as a holding structured as a club deal. It does not operate a blind-pool fund; instead, it raises capital transaction by transaction from qualified private investors and entrepreneurs, who can then participate actively in the growth program of each portfolio company (per firm website).
Does Mazal Holding participate in fund commitments or only direct deals?
Based on its disclosed model, Mazal Holding pursues direct equity investments in small and medium-sized Italian enterprises. There is no mention of it acting as a limited partner in third-party funds or feeder vehicles.
What investment stages does Mazal Holding typically target?
The firm covers early-stage, expansion and late-stage growth capital, as well as reorganisation and restructuring mandates. Its public materials also reference support through management reinforcement and strategic repositioning (per firm website).
Which sectors does Mazal Holding explicitly avoid?
The firm does not publish a list of excluded sectors. Its investment focus is defined by company quality and growth potential rather than by industry-specific mandates, according to its own description.
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