Investment Strategy

RCP offers specialized knowledge and experience to actively manage capital with the goal of selecting only the best performing underlying funds in which to invest. In addition, fund-of-funds managers strive to assemble portfolios of underlying funds that blend strategy, scope, and size to provide greater stability and a more favorable risk-return profile for their investors.

RCP generally works with buyout fund managers with funds of between $200 million and $1 billion in committed capital. These fund managers then seek to invest in lower middle sized companies - typically, with $10 million to $250 million in enterprise value.

Primary Funds-of-funds

Invest in 10 to 15

Commit $20M to $30M
per manager

Diversified portfolios by industry, strategy, geography, etc.

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Secondary Funds

Purchase seasoned buyout funds

Original commitments of
$3M to $30M

Secondary market purchase of single assets or portfolio of assets

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Co-invest alongside top-quality managers in RCP’s niche market

Target co-investments between
$5M and $10M

Diversification by manager, industry and strategy

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