Investing with continuity in mind

Schryver Family provides independent investment oversight and portfolio management across public and private markets. Our investment approach is designed to preserve capital, manage risk and deliver controlled long-term growth within each family’s bespoke mandate.

Portfolios are constructed to provide global diversification, liquidity balance and resilience across market cycles.

Investment Management

Portfolio Structure

Our portfolios are invested across three complementary strategies, providing exposure to high-quality public and private companies alongside carefully selected private equity funds.

Strategy Distribution

    Geographic Distribution

      Sector Allocation

        Our investment process

        Responsible Investment

        Responsible investment is an integral part of our long-term stewardship philosophy. We engage constructively with the companies and funds in which we invest, believing that disciplined governance and thoughtful ownership are essential for managing Environmental, Social and Governance risks and to supporting sustainable value creation.

        We seek out companies that demonstrate:

        Attractive Markets

        Strong fundamentals

        Aligned and Experienced Management

        Investment Strategies

        Public Companies

        We aim to invest in global businesses with recognised brands, intellectual property and strong market positions that have a good track record of delivering attractive returns.

        Private Capital

        We look to invest in established businesses with strong financial metrics operating in markets that present attractive opportunities for growth.

        Funds

        We invest in private equity funds with a bias towards lower mid-market buyouts. The portfolio provides attractive diversification, comprising 18 funds managed by 12 experienced managers, providing access to more than 250 underlying companies operating across a range of sectors.