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Peninsular Capital
Peninsular Capital est une société qui investit en fonds propres dans des entreprises privées réalisant de 5 à 25 M€ de chiffre d’affaires en France et en...
Peninsular Capital
Peninsular Capital est une société qui investit en fonds propres dans des entreprises privées réalisant de 5 à 25 M€ de chiffre d’affaires en France et en Europe. Elle accompagne ces sociétés sur le long terme dans des projets de transmission et de développement.
General information
Firm type
Private Equity
Year founded
2015
AUM
Undisclosed
Location
Region
Europe
Country
France
City
Paris
Corporate office
Paris, France
Principals
Adrien d'Auriol
Frequently asked questions
Who makes investment decisions at Peninsular Capital?
The firm's public leadership points to Adrien d'Auriol as the key principal. Details on a broader investment committee or partnership structure beyond d'Auriol are not disclosed on the firm's website.
What type of companies does Peninsular Capital invest in?
It targets private, small-to-medium enterprises generating €5 million to €25 million in annual revenue. The firm covers France and broader Europe, providing equity for buyouts, management transitions, and development.
Does Peninsular Capital operate as a family office or an independent fund manager?
Peninsular Capital is structured as an independent asset manager, governed by the French Autorité des Marchés Financiers. It is not a single-family office, distinguishing it from vehicles managing a single family's private wealth.
Does Peninsular Capital make minority or majority investments?
The firm's stated strategies — buyouts and management buy-ins — indicate that it pursues both controlling majority stakes and active equity positions. Specific transaction structures for its limited known investments, such as NovaSparks, have not been publicly detailed.
What is the typical holding period for a Peninsular Capital investment?
Peninsular Capital explicitly markets a long-term partnership approach focused on transmission and company development. Beyond the recent sale of NovaSparks, the firm does not publish predefined fund lives or standard holding periods on its website.
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