Tikehau Capital SCA: A Comprehensive Overview
Tikehau Capital SCA, a prominent France-based asset management and investment company, has been making significant strides in the financial sector. As of June 11, 2025, the company’s close price stood at 18.72 EUR, with a market capitalization of 3.38 billion EUR. Listed on the NYSE Euronext Paris, Tikehau Capital operates in the capital markets industry, focusing on a diverse range of asset classes.
Investment Focus and Strategies
The company’s investment portfolio is diverse, encompassing Private Debt, Real Estate, Private Equity, and Liquid Strategies. In Private Debt, Tikehau Capital engages in debt financing transactions, including senior debt, unitranche, and mezzanine, as well as collateralized loan obligations. The Real Estate segment focuses on commercial property investments and sale and lease-back transactions, where Tikehau’s vehicles act as purchasers. Private Equity investments include both listed and non-listed companies’ equity capital. Additionally, Liquid Strategies involve investments in bonds, investment-grade securities, and the management of open-ended funds. The acquisition of Isotrol has further enhanced Tikehau’s capabilities in software solutions.
Operational Reach and Market Presence
Tikehau Capital operates through direct equity investments or via its asset management subsidiary, Tikehau IM, catering to both institutional and private investors. The company has established a strong global presence with offices in key financial hubs, including Paris, London, Brussels, New York, and Singapore.
Financial Performance and Market Metrics
As of June 11, 2025, Tikehau Capital’s close price was 18.72 EUR, with a price-to-earnings ratio of 22.22. The company’s 52-week high was recorded at 25 EUR on September 26, 2024, while the 52-week low was 16.86 EUR on April 8, 2025. These metrics reflect the company’s financial performance and market valuation over the past year.
In summary, Tikehau Capital SCA continues to be a significant player in the financial sector, with a robust investment strategy and a strong global presence. The company’s diverse asset class investments and strategic acquisitions position it well for future growth and success in the capital markets industry.