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Quadri Ventures
Quadri Ventures invests in enterprise software, infrastructure, and applied AI where demand is already visible, connecting portfolio companies to global...
Quadri Ventures
Quadri is a venture capital firm investing in enterprise demand across software, infrastructure, and applied AI.
General information
Firm type
Venture Capital
Year founded
—
AUM
Undisclosed
Location
Region
Europe
Country
United Kingdom
City
London
Corporate office
London, United Kingdom
Sector focus
Frequently asked questions
What investment stages and check sizes does Quadri Ventures target?
Quadri invests from Seed through Series B, writing initial checks between $1.5 million and $5 million. The firm targets SaaS companies that have crossed $1 million in annual revenue and typically show over 100% year-over-year revenue growth, with a preference for businesses building on AWS.
How does Quadri Ventures source and support portfolio company distribution?
Quadri maintains an engineered distribution network spanning hyperscalers, systems integrators, and a curated global network of enterprise buyers and corporate venture partners. The firm works closely with Japanese technology conglomerate NTT and other global enterprises to support portfolio company validation and go-to-market execution.
Which sectors does Quadri Ventures target?
The firm invests in three durable enterprise domains: mission-critical software embedded in core workflows, foundational infrastructure that underpins the modern enterprise stack, and applied AI deployed into physical-world environments including robotics and automation.
Who runs investment decisions at Quadri Ventures?
Quadri has not publicly named its investment principals. Its website describes a team of investors, operators, and strategic partners with backgrounds across enterprise software, infrastructure, private equity, and venture capital, structured across Fund Management, Investment Team, and Advisors categories.
Does Quadri Ventures disclose assets under management?
No. Quadri does not publicly disclose its assets under management or total capital deployed.
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