Annual report 2025

Discover Sofina’s 2025 Annual report, detailing our performance, investment strategy, and key milestones over the past year.

Why invest in Sofina?

Our performance

Our Net Asset Value of € 10.8 billion stems from direct investments as a minority partner of business owners in core growth sectors and indirect funds investments in partnership with an ecosystem of top-tier venture and growth fund managers in Europe, the United States, and Asia.

€10.8 bn

Net Asset Value

€305.77

Net Asset Value per share

53  %

Sofina Direct

47  %

 Private Funds

Investor relations

Access our investor information and disclosures, reflecting our disciplined approach to sustainable long-term value creation.

Shareholder centre

Shareholder Centre

Investor contact

Investor Contacts
Our Approach

OUR APPROACH

We build relationships with partners who share our values and approach towards sustainability.

We are committed to making continuous progress to move from mitigating ESG-related risks alone to making a net positive impact through our investments and our stewardship.

We aim to reduce the environmental footprint of our portfolio companies, through discussing their sustainability roadmaps with them and monitoring and encouraging them to develop greenhouse gas (“GHG”) emissions reduction targets in line with the goals of the Paris Agreement.

How we invest

HOW WE INVEST

We invest thematically and thoughtfully, with a diversified approach across different sectors, geographies and investment styles.

Alongside likeminded entrepreneurs and partners who share our values and vision for the world.

Our role is to offer patient capital, supportive advice and long-term view to drive lasting growth and increase prosperity, opportunity and sustainability.

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