Venture Capital

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Snaw Ventures

Snaw Ventures is a venture capital based in Paris; the Altss profile covers its classification, headquarters, registration, AUM band, and key contacts for...

Snaw Ventures logo

Snaw Ventures

Backing visionaries, Designing the future | Backing visionaries, Designing the future

General information

Firm type

Venture Capital

Year founded

AUM

Undisclosed

Location

Region

Europe

Country

France

City

Paris

Corporate office

Paris, France

Frequently asked questions

What investment stages does Snaw Ventures target?

Snaw Ventures focuses on early-stage venture capital, specifically seed and startup rounds. The firm's mandate covers the earliest institutional capital deployment into newly formed European companies. Its generalist venture approach suggests it does not restrict itself to a single sub-stage within early-stage investing.

Where does Snaw Ventures invest geographically?

Based in Paris, Snaw Ventures operates primarily within the European venture ecosystem. Public records do not indicate offices or formal investment programs outside Europe. The firm's single-office structure and Paris headquarters point to a concentrated European geographic focus.

Is Snaw Ventures a single family office or a traditional venture firm?

Snaw Ventures is classified as a private equity asset manager, not a family office. The firm operates as an external manager raising capital from third-party limited partners, though specific LP identities have not been publicly disclosed. It does not appear to manage concentrated single-family wealth.

Does Snaw Ventures lead rounds or participate as a co-investor?

Public records do not detail Snaw Ventures' specific role in individual financings. As an early-stage and seed-focused investor, the firm likely participates in both lead and syndicate roles depending on the opportunity. Without disclosed portfolio data, its historical round participation patterns remain private.

What is Snaw Ventures' known investment track record?

Snaw Ventures has not publicly disclosed portfolio companies, exit history, or fund performance metrics. The firm maintains a low public profile, which limits third-party verification of its track record. Prospective LPs would need to obtain this information directly through the firm's private fundraising materials.

Profile maintained by 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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