STRATEGY
Marco seeks to invest its capital in situations that offer the opportunity for returns significantly in excess of those available in the public markets. A primary focus will be to evaluate and minimize the risk of a permanent loss of capital, rather than the mere perception of risk created by short term market volatility.
Marco actively seeks to partner with other investors who share its investment strategy, and its emphasis on character and integrity. We are not a public fund and therefore have the flexibility to consider investments with unique exit scenarios. Minority positions are acceptable assuming the standards of character and integrity of our partners are met.