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How We Work

Fennogens adopts a pragmatic and selective approach to investing, grounded in judgment, flexibility, and long-term perspective.

We actively combine long-term ownership of selected companies with investments in listed financial instruments, allowing capital to be deployed across different asset types and time horizons. Our capital allocation evolves over time in response to market conditions, portfolio considerations, and the relative attractiveness of available opportunities.

We are sector agnostic, which enables us to assess opportunities on their individual merits rather than within predefined categories, and to allocate capital where we believe risk-return dynamics are most compelling at a given point in time.

Our involvement as a shareholder focuses on active strategic oversight and disciplined decision-making, without engaging in day-to-day operational management.

Investment decisions are taken by a dedicated investment team and reflect experience, judgment, and a long-term orientation, while preserving the flexibility to act opportunistically when conditions are considered favourable.