
Dalmore Capital
Independent fund management focusing on low volatility UK infrastructure assets for long-term investor value.
Date | Investors | Amount | Round |
---|---|---|---|
* | N/A | Acquisition | |
Total Funding | 000k |
GBP | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 |
---|---|---|---|---|---|---|---|
Revenues | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 |
% growth | 99 % | (32 %) | 67 % | 66 % | (5 %) | 15 % | 8 % |
EBITDA | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 |
% EBITDA margin | 28 % | 12 % | 24 % | 37 % | 21 % | 37 % | 41 % |
Profit | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 |
% profit margin | 22 % | 8 % | 20 % | 30 % | 17 % | 46 % | 41 % |
EV | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 |
EV / revenue | 00.0x | 00.0x | 00.0x | 00.0x | 00.0x | 00.0x | 00.0x |
EV / EBITDA | 00.0x | 00.0x | 00.0x | 00.0x | 00.0x | 00.0x | 00.0x |
R&D budget | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 | 0000 |
Source: Company filings or news article
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Dalmore Capital Limited is a fund management company with a strategic focus on acquiring, managing, and holding low volatility infrastructure assets, primarily in the UK. The company is authorized and regulated by the Financial Conduct Authority, ensuring compliance with industry standards. Dalmore's investment strategy is centered on assets that exhibit minimal exposure to GDP, traffic, usage, or market price risks, providing a stable investment environment. The firm operates several funds, including Dalmore Capital Fund 3 and Fund 4, which continue the successful strategy of investing in low volatility infrastructure. While the primary focus is on the UK, Dalmore also manages assets in Ireland, continental Europe, and Canada. The business model revolves around generating long-term value for investors while maintaining a commitment to corporate social responsibility, positively impacting communities and the environment. Dalmore's clientele includes professional investors seeking stable returns from infrastructure investments. The company generates revenue through management fees and performance-based incentives tied to the success of its investment portfolios.
Keywords: infrastructure, fund management, low volatility, UK, long-term value, regulated, investor focus, stable returns, corporate responsibility, professional investors.