Investing with an operator's precision. We don't merely acquire assets; we build them.
Partner With UsFortuna Group emerged from a global investing firm where we facilitated the movement of critical industries. This operational foundation gave us an uncommon advantage: direct insight into global market inefficiencies, infrastructure gaps, and misallocated capital.
Our leadership team combines financial rigor with industrial expertise. We operate with a discipline forged through decades of operational execution in complex, capital-intensive sectors.
We target high-impact sectors where operational expertise drives alpha.
Decarbonizing Hard-to-Abate Sectors. Decarbonizing hard-to-abate sectors requires more than electrification to achieve a net-zero transition. We invest across the commodity value chain—including processing plants, trading, refining, and distribution—focused on green molecules, sustainable liquid fuels, and low-carbon chemical feedstocks essential for heavy industry, aviation, and maritime transport.
Materials for the Electric Age. The EV revolution is a materials challenge. We back innovators in next-gen batteries, lightweight composites, and advanced manufacturing—the enablers of mass electrification.
The Evolving Consumer Economy. Serving the new consumer class in Africa and Asia. We invest in FMCG brands and circular packaging ecosystems that meet rising expectations for quality, safety, and sustainability.
Fortuna Group's portfolio spans energy transition infrastructure, advanced materials, and consumer-facing platforms across emerging and developed markets.
Vertically integrated where strategic, designed to capture value at industrial inflection points.
By conducting our own independent feasibility studies with reference to technology, business, financial and risk management aspects of the businesses where we invest.
Our holding periods reflect our conviction: we are long-term capital partners.
At Fortuna, ESG is not peripheral; it is central to our investment thesis and alpha generation. Every portfolio company is evaluated on carbon intensity, resource efficiency, and scalability of impact.
We do not invest in transitional assets; we invest in end-state solutions. We report transparently on emissions reductions, circularity metrics, and social impact across our holdings.
Our approach aligns with the UN Sustainable Development Goals: