Nisela Capital's investment strategy is to focus on acquiring control or significant minority positions in investments and/or companies that exhibit an asymmetric, positively skewed risk and reward profile.
Nisela seeks to invest $3-$25 million per transaction or platform, with a significant bias towards growth capital investments in consumer facing sectors.
Focused on proactively identifying investment opportunities in selected sectors, a significant proportion of Nisela's deal flow is of proprietary nature, due to the nascent nature of intermediary services in Sub-Saharan Africa, allowing for negotiations to be undertaken on an exclusive basis.
Focus on companies that have strong and shareholder aligned management team and companies that provide regional expansion opportunities.
Targeted investment period 5-7 years
Targeted return in excess of 4.0x Cash-on-Cash