The DIP investment strategy is reviewed every 3 years.
Following the most recent review in 2021 DIP remains open for new investments with the following characteristics:
- Risk/return profile appropriate for the market sector (minimum return 5% p.a.)
- Measurable local or ESG impact
- Clear and well developed legal and governance provisions
- Structured appropriately - preference is for multi-asset, multi-investor portfolios in order to mitigate risk
- Target range £30m to £100m (minimum investment £20m)
- FCA regulated
- Sterling denominated
- Predominately UK
- A stable management team with a good business plan and a proven track record in their field
- Other, suitable key investors