Xcout IntelSign inSubscribe

BRIDGEPOINT GROUP PLC competitors & alternatives

BPTAsset ManagementLondon, United Kingdom

The 12 closest competitors and alternatives to BRIDGEPOINT GROUP PLC among asset management companies — ranked by similarity to what BRIDGEPOINT GROUP PLC actually does, not by market-cap band.

$3.9BMarket cap
542Employees
12Competitors listed

Subscribe to see BRIDGEPOINT GROUP PLC’s full profile → the full roster, investors in every round, weekly hiring history and every corporate event

About BRIDGEPOINT GROUP PLC

Bridgepoint Group plc, formerly Bridgepoint Group Limited, is a financial institution specializing in both private equity and private credit. The firm deploys capital across diverse investment strategies, including growth capital, buyouts, syndicated debt, infrastructure financing, direct lending, and various private credit opportunities. It targets companies ranging from lower mid-market and middle market to small mid-cap and small-cap segments. Bridgepoint's investment focus spans a wide array of sectors. These include advanced industrials, automation, agricultural sciences, and businesses facilitating the energy transition. It also actively invests in business services, financial services, professional services, testing, inspection, and certification (TIC), and information services. Within the consumer domain, the firm backs digital brands, video games, and wellbeing products. Additionally, Bridgepoint has a significant presence in healthcare, particularly in pharmaceuticals, Med-Tech products, and outsourced Med-Tech services. Geographically, the firm primarily seeks opportunities across the United Kingdom, New York, Germany, Austria, Switzerland, Spain, France, and the Nordic region. Equity investments generally range from £4.77 million (approximately $5.91 million) to €300 million (around $348.8 million). Specifically, commitments for small mid-cap companies are typically between £40 million ($49.54 million) and £125 million ($154.82 million), while small-cap investments are usually between £10 million ($12.39 million) and £25 million ($30.96 million). Bridgepoint focuses on businesses with an enterprise value ranging from €10 million (about $10.74 million) to €1 billion (approximately $1.07 billion). Established in 1985, Bridgepoint Group plc is headquartered in London, United Kingdom, and maintains a global operational presence with additional offices across North America, Asia, and Europe.

BRIDGEPOINT GROUP PLC at a glance

BRIDGEPOINT GROUP PLC is an asset management company headquartered in London, United Kingdom, founded in 2018. It is publicly listed (BPT) with a market capitalisation of $3.9B.

Top 12 BRIDGEPOINT GROUP PLC competitors

Ranked by semantic similarity — how close each company is to BRIDGEPOINT GROUP PLC by what it does, using Xcout's live company graph. Click any company for its full profile, or its competitor set.

LMS CAPITAL PLCLMS · Asset ManagementLondon, United Kingdom
68% matchPublic

Similar asset management company

LMS Capital plc operates as a private equity firm, specializing in both direct investments and fund-of-funds strategies. Their investment activities span a wide range of company development stages, from mid and late ventures to emerging growth, middle market, later stage, growth and development capital, buyouts, and recapitalizations. Beyond private equity, the firm also allocates capital to public equities and alternative specialist asset classes. They show a preference for companies across diverse sectors, including media, consumer services, energy equipment services, financial institutions, healthcare, industrial production, professional services, information technology, software development and related services, and public utilities. LMS Capital typically targets small to medium-sized enterprises, whether publicly traded or privately held, primarily in the United Kingdom, Israel, Europe, and North America. For potential equity investments, they seek companies requiring between $5.68 million and $34.07 million, demonstrating minimum sales of $5.68 million, a minimum EBITDA of $1.14 million, and an enterprise value between $11.36 million and $113.57 million. The firm expresses a strong preference for acquiring a majority ownership stake in its portfolio companies. Established in 2006, LMS Capital plc is headquartered in London, United Kingdom.

Market cap$16.9M
Employees7
LMS CAPITAL PLC competitors & alternatives →
ICG ENTERPRISE TRUST PLCICGT · Asset ManagementLondon, United Kingdom
68% matchPublic

Similar asset management company

ICG Enterprise Trust PLC primarily deploys capital through two distinct avenues: direct investments and commitments to various private equity funds. The Trust expressly avoids early-stage or venture capital funding, instead focusing on providing growth capital. Its direct investment strategy often involves co-investing in established companies undergoing buyouts. Within its fund-of-funds allocations, the Trust targets primary and secondary purchases of private equity buyout funds, growth capital funds, and mezzanine funds. The Trust maintains a broad sector focus, encompassing healthcare, education, industrial companies, business and consumer services, leisure, technology, media, telecommunications, and financial institutions, among others. Geographically, direct investments in unquoted companies and primary fund commitments span all industry sectors across Europe, with a particular emphasis on the United Kingdom and Western Europe. For its broader fund-of-funds strategy, the geographic scope also extends to the United States. The Trust typically seeks to deploy between $100 million and $200 million, targeting companies with an enterprise value ranging from £25 million ($40.62 million) to £200 million ($324.94 million). Investments within the UK middle market are frequently channeled through funds managed by Graphite Capital Management LLP, while broader European and UK middle-market exposure is gained via third-party fund commitments. Additionally, the Trust participates in co-investments alongside its portfolio funds, acquires stakes in existing funds through secondary market transactions, and explores opportunities in emerging sectors, such as public finance initiatives, and with new fund managers.

Market cap$1.2B
Employees0
ICG ENTERPRISE TRUST PLC competitors & alternatives →
EMV CAPITAL PLCEMVC · Asset ManagementLondon, United Kingdom
68% matchPublic

Similar asset management company

EMV Capital plc operates as a venture capital firm, primarily targeting investments across the full spectrum of early-stage funding, from seed rounds through to mid-stage and growth capital. Its investment mandate spans diverse high-growth sectors, including sustainability, life science, technology, transformative biomedical, deep tech, semiconductors, industrials, robotics, and artificial intelligence. The firm also places a strong emphasis on healthcare technologies, particularly digital health, diagnostics, and therapeutics, with a specific focus on ventures that enhance the lives and health outcomes of individuals battling chronic illnesses. Within digital health, core interests lie in data analytics, advanced wearable devices, and other related technologies. Geographically, EMV Capital seeks opportunities within developed European markets, including its home base in the United Kingdom, as well as the United States. While typical investment sizes reach up to £15 million (approximately $20.32 million), the firm retains the flexibility to commit larger sums. A strategic preference is to secure a controlling stake in key subsidiary companies, with investments primarily executed via its balance sheet. Established in 2008, EMV Capital plc operates from its headquarters in London, UK, with an additional presence in Beaconsfield.

Market cap$20.3M
Employees29
EMV CAPITAL PLC competitors & alternatives →
KKR & CO INC KKR AND CO0Z1W · Asset ManagementNew York City, United States
67% matchPublic

Similar asset management company

KKR & Co. Inc. is a prominent private equity and real estate investment firm, engaging in both direct investments and fund-of-funds strategies. The firm deploys a wide array of investment approaches, including acquisitions, leveraged and management buyouts, growth equity, mezzanine financing, and investments in distressed or turnaround situations, often targeting lower and middle-market companies. While its investment scope is broad, encompassing virtually all industries, KKR maintains specialized focus across several key sectors. These include technology (e.g., software, cybersecurity, semiconductors, IoT, IT infrastructure, fintech), energy and infrastructure (e.g., upstream oil & gas, equipment, minerals, royalties, services, pipelines, renewable energy), and real estate (covering both private and public securities, property equity, debt, special situations, and significant real estate holdings, including oil and natural gas properties). KKR also invests in the diverse asset services sector, ranging from B2B to B2G services like transport, logistics, leisure/hospitality, utility support, and environmental services. Other significant areas of interest span consumer goods (durables, non-durables, retail, food & beverage, luxury), financial services (insurance, brokerage, specialized finance), healthcare (hospitals), industrials (capital goods), media & communications (digital media, publishing, entertainment), and natural resources (agriculture, forestry, mining, packaging, utilities). The firm's sector focus is often tailored to specific regions; for example, it emphasizes consumer products, financials, and technology in the Americas and Asia, and industrials, energy, and healthcare in Europe. KKR is also committed to impact investing, seeking out businesses that generate positive social or environmental outcomes. Its global footprint spans North America (including the US, Mexico, Caribbean), Latin America (e.g., Brazil), Europe (e.g., UK, France, Germany, Netherlands, Ireland, Nordic region), Asia-Pacific (e.g., Australia, China, Japan, India, Korea, Taiwan, Southeast Asia), and the Middle East & Africa. Within the United States and Europe, a particular emphasis is placed on buyouts of large, publicly traded companies. Its global real estate activities include investments in mid-to-high-end residential developments in Mainland China, through various ownership structures. KKR typically invests between $30 million and $717 million in companies with enterprise values ranging from $500 million to $2.389 billion. The firm engages in both debt and public equity investing, often participating in co-investments. It frequently seeks board representation and aims for either controlling stakes or significant minority positions, particularly in Asian private equity deals or as part of investor consortia. Investments are generally held for five to seven years or longer, with exit strategies including initial public offerings, secondary offerings, and sales to strategic buyers. Established in 1976 and headquartered in New York City, KKR operates with a global network of offices across North America, Europe, Australia, and Asia.

Market cap$88.3B
Employees5,043
KKR & CO INC KKR AND CO competitors & alternatives →
BCP Investment CorporationBCIC · Asset ManagementNew York, United States
67% matchPublic

Similar asset management company

BCP Investment Corporation (BCIC) operates as a business development company, primarily focused on providing capital solutions to middle-market businesses. The firm engages in a diverse array of financing strategies, including various forms of debt such as unitranche loans (even those designated "last out"), first and second lien debt, and subordinated or mezzanine financing. Additionally, BCIC undertakes equity co-investments and direct buyouts. Beyond its core investment activities, the company strategically acquires complementary businesses to enhance its operations. BCIC's investment focus spans a broad spectrum of industries. Key sectors include healthcare, logistics and distribution, manufacturing, industrial and environmental services, media and telecommunications, real estate, education, automotive, agriculture, aerospace and defense, packaging, electronics, financial services, consumer goods (both durable and non-durable), business services, utilities, insurance, and the food and beverage industry. Typically, the firm commits between $1 million and $20 million to its portfolio companies. Specific investment ranges and maturities are as follows: Senior Secured Term Loans: $2 million to $20 million, with maturities of five to seven years. Second Lien Term Loans: $5 million to $15 million, maturing in six to eight years. Senior Unsecured Loans: $5 million to $23 million, with terms of six to eight years. Mezzanine Loans: $5 million to $15 million, maturing in seven to ten years. Equity Investments: $1 million to $5 million. The firm generally seeks companies generating EBITDA between $5 million and $25 million. However, for its debt investments, BCIC broadens its scope to include middle-market firms with EBITDA ranging from $10 million to $50 million, or those carrying total debt between $25 million and $150 million (or both criteria). BCIC is flexible in its equity participation, taking minority, majority, or even controlling stakes, frequently partnering alongside private equity sponsors.

Market cap$94.4M
Employees13
BCP Investment Corporation competitors & alternatives →
MERCIA ASSET MANAGEMENT PLCAsset ManagementHenley-in-Arden, United Kingdom
67% match

Similar asset management company

Mercia Asset Management PLC functions as a private equity and venture capital firm, dedicating its expertise to a full spectrum of investment stages. This includes initial incubation, seed EIS, early-stage, emerging growth, mid-venture, late-stage, and growth capital funding. The company primarily directs its investments towards technology-driven enterprises spanning diverse sectors such as digital entertainment, consumer services, media, retail, energy, healthcare, industrials, materials, real estate, telecommunications, gaming, internet, software, electronics and hardware, advanced materials, transportation, biosciences, engineering and specialist manufacturing, and life sciences. Geographically, Mercia focuses its capital deployment within the Midlands and the northern areas of the United Kingdom, specifically encompassing the North of England and Scotland. Individual investment sums typically range from £1 million (approximately $1.25 million) to £10 million (approximately $12.52 million). The firm offers financing via direct equity stakes, its managed funds, or through alternative instruments like debt and convertible securities. It aims to secure either controlling (majority) or non-controlling (minority) equity positions and actively seeks board representation within its portfolio companies. Established in April 2014, Mercia Asset Management PLC maintains its principal office in Henley-in-Arden, United Kingdom, complemented by additional locations across Europe.

Valuation—
Employees—
MERCIA ASSET MANAGEMENT PLC competitors & alternatives →
HG CAPITAL TRUST PLCHGT · Asset ManagementLondon, United Kingdom
66% matchPublic

Similar asset management company

HgCapital Trust plc (2017) strategically allocates capital to a diverse range of opportunities, encompassing direct investments in both publicly traded and privately held companies, as well as participations in fund-of-funds arrangements. The trust permits its entire gross asset base (100%) to be exposed to unlisted investments. However, it imposes a strict limit, ensuring that no individual direct or indirect investment in an unlisted company or closed-ended fund exceeds 15% of its gross assets. The primary focus for its direct investments lies in middle-market buyouts across the Technology, TMT, Services, and Industrials Technology sectors, targeting businesses with enterprise values between £80 million (approximately $97.43 million) and £500 million (approximately $608.95 million). It also seeks lower mid-market buyout prospects specifically within the TMT sector, focusing on companies valued from £20 million (approximately $24.35 million) to £80 million (approximately $97.43 million). Beyond these, the fund explores direct investments in hospitality (hotels, restaurants, leisure), consumer durables and apparel, various service industries, and renewable energy. Geographically, HgCapital Trust prioritizes investments within Europe, with a distinct emphasis on Northern Europe, including the United Kingdom, Germany, France, the Benelux region, and the Nordics, alongside other European territories. The trust typically commits between £100 million (approximately $202.89 million) and £500 million (approximately $1014.45 million) to each of its portfolio companies. For its fund-of-funds segment, it specifically invests in limited partnership vehicles overseen by HgCapital. A cornerstone of its investment philosophy is to secure a majority ownership stake in the businesses it supports.

Market cap$2.5B
Employees0
HG CAPITAL TRUST PLC competitors & alternatives →
DUKE CAPITAL LIMITED ORDSDUKE · Asset ManagementSt Peter Port, Guernsey
66% matchPublic

Similar asset management company

Duke Capital Limited operates as a private equity firm primarily engaged in Management Buyouts (MBOs), buy-and-build strategies, mid-market investments, minority buyouts, restructuring endeavors, and royalty financing for small to medium-sized enterprises (SMEs). The firm explicitly avoids investing in early-stage ventures, businesses with inherently tight profit margins, and does not provide venture capital funding. While its investment scope spans all sectors, Duke Capital exhibits a distinct preference for companies in manufacturing, services, healthcare, and IT services. Equity investments typically range from £5 million (approximately $6.36 million) to £30 million (around $38.18 million), targeting businesses with an EBITDA between £2 million ($2.54 million) and £10 million ($12.72 million). Additionally, the firm offers debt financing, with loan sizes generally falling between £10 million (approximately $12.72 million) and £30 million (roughly $38.18 million). Key investment criteria include a strong emphasis on intellectual property assets and financially stable, cash-generating businesses. It also favors companies with minimal or no existing debt, and partnerships with owners who wish to retain significant control or with management teams pursuing buyout opportunities. A core strategy involves providing capital in exchange for a modest share of future revenues, via royalty agreements. The firm shows a preference for businesses operating under government or regulatory licenses and generally seeks board representation within its portfolio companies, where it typically acquires minority stakes. Established in 2015, Duke Capital Limited is headquartered in Guernsey, with additional operational bases in both Guernsey and London, United Kingdom.

Market cap$177.1M
Employees18
DUKE CAPITAL LIMITED ORDS competitors & alternatives →

Analyze another company

Search any company we track to see its competitive set.

Or describe a company

Paste a short paragraph describing a company or product — we'll find the most similar companies we track, scored 1–100.

See the full profile of BRIDGEPOINT GROUP PLC and its market

Funding, investors, tech stack, hiring signals, leadership and corporate events — for BRIDGEPOINT GROUP PLCand every competitor above — in one live dashboard.

Subscribe to Xcout Intel →