We're always thinking ahead and committed to building an even better future at scale. We have a long history, track record, an investor mindset, and a strong desire to partner with companies to accelerate growth.

Private Equity

>€3 Billion in Deal Value to Date

Since we took our first steps in 2005, we have gone on to build a solid track record within our private equity division. Our expertise spans retail, luxury, lifestyle, and branded consumer goods.

We are proud to have led 8 private equity acquisitions to date:

  • 2005: la Rinascente (Italy), exited in 2011
  • 2006: Printemps (France), exited in 2013
  • 2016: The Market (San Marino)
  • 2016: Grandi Stazioni Retail (Italy)
  • 2019: MooRER (Italy)
  • 2019: Moose Knuckles (Canada)
  • 2020: Hippocrates Holding (Italy)
  • 2021: Zimmermann (Australia)

Our Investment Portfolio


Hippocrates Holding



Moose Knuckles

Grandi Stazioni Retail


La Rinascente


Real Estate


High Street

San Marino Outlet


Portfolio Torino

Portfolio Venezia




Asset Management

>€400M Asset Under Management to Date

Borletti’s asset management division actively manages a global portfolio of over €400m, spanning all asset classes and regions. In order to achieve our carefully defined milestones and targets, our asset management team keeps their focus firmly on asset allocation and manager selection. We embrace an open architecture approach, sourcing the expertise and support of international banks and leading asset managers worldwide.

In 2015, Borletti & Partners launched our proprietary Sicav SIF, an umbrella fund that combine all the Group’s liquid investments through two compartments:

Beyond investment in traditional asset classes, Borletti’s asset management team also deploys capital into less liquid alternative investment strategies such as private debt, venture capital and private equity funds.

Savile Multimanager Defensive

The fund’s investment objective is to generate a regular annual yield while stressing the preservation of capital. To do so, the fund invest primarily on fixed income related strategies.

Savile Multimanager Dynamic

The fund’s objective is to generate a consistent high single digit annual return with a lower medium-term volatility than equity markets. To achieve that, the fund mostly deploy capital in passively or actively managed equity funds and various hedge fund strategies. The fund is also active across alternative investments such as venture capital and private equity.


In February 2020 BG launched, in collaboration with Azimut, AZ FUND BORLETTI Global Lifestyle, a thematic long only equity fund. AZ FUND BORLETTI Global Lifestyle Fund is an innovative UCITS fund that combines the industrial, hands on, managerial expertise of the Borletti Group in the consumer discretionary sector with the asset management expertise of Azimut Investments.

The fund’s sophisticated approach combines both Groups proprietary financial expertise and in depth industrial know-how of the target companies, properly assessing their management and business models from a strategic view point.