Asset Manager Profile
Starr Investment Holdings’ most common sectors for investment areinformation technology (34%) and business services (34%) . The Firm’s most common investment types include secondary buyout (67%) and growth capital (34%). In total, Starr Investment Holdings has invested in 2 US states. Its largest (disclosed) acquisition occurred in 2014 when it acquired MultiPlan for $4.4B.
In the last 3 years, Starr Investment Holdings has exited 2 companies. The Firm’s most common exit type is secondary buyout (100%).
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M&A Summary
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M&A Total Activity6
- M&A Buy Activity3
- M&A Sell Activity3
- Total Sectors Invested 3
- Total Countries Invested 1
- M&A Advisors 6