

Investment Approach
By leveraging our team’s network, experience, and expertise, we actively manage our investment portfolios through business operations and capital market activities. We collaborate closely with each portfolio company to help them grow, improve operational and financial efficiency, and identify business and capital market opportunities.
1
Sourcing
We source, screen, and identify promising investment opportunities in relevant sectors through our extensive industry network, rich experience, in-depth research, and thorough due diligence.
2
Due Diligence
We conduct comprehensive due diligence to evaluate the business, financial, operational, legal, and ESG aspects of each investment opportunity.
Structuring
We customize investment structures based on the specific needs of each project's stakeholders, considering factors such as capital requirements, growth potential, social responsibilities, and exit strategies.
3
4
Portfolio Company Support and Management
We actively engage in the management of our portfolio companies, leveraging our industry expertise and resources to provide strategic guidance, operational improvements, business development, and capital market support.
5
Exit and Value Realization
We collaborate with our portfolio companies to identify and implement appropriate exit strategies, including IPOs, mergers and acquisitions, or strategic partnerships, to maximize the value of our investments.
By adopting this hands-on investment approach, Hoover Investment aims to generate stable and foreseeable long-term returns for our investors while driving meaningful progress towards a cleaner and more sustainable future.
