In the last 3 years, Cornell Capital has acquired 1 company.
Cornell Capital’s most common sector for investment is consumer products (100%). The Firm’s most common investment types include divestiture (50%) and secondary buyout (50%). In total, Cornell Capital has invested in 2 US states.
In the last 3 years, Cornell Capital has exited 1 company. The Firm’s most common exit type is merger (100%).
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Cornell Capital is a private investment firm that seeks to partner with strong management teams to build businesses. Cornell Capital does not have any sector preferences and focuses on opportunities across the US. Cornell Capital was formed in 2013 and is based in New York City.
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