Silesia Holding manages and allocates capital across its portfolio companies and selected strategic projects, with a focus on long-term value creation, operational control and disciplined risk management. Our investment activities are structured around ownership participation, balance sheet optimisation and selective external partnerships, rather than acting as a financial intermediary or investment advisor.
Silesia Holding utilises private debt instruments as part of its capital structure strategy to support the growth and stability of its operating companies.
We work with established lenders and financing partners across jurisdictions to secure structured debt solutions aligned with the operational needs and cash flow profiles of our businesses. Private debt is used selectively to finance expansion, infrastructure development and working capital, while maintaining prudent leverage and long-term financial resilience.
Private equity exposure within Silesia Holding is primarily focused on direct ownership stakes and long-term participation in operating businesses.
We engage with strategic partners, family offices and institutional investors where equity collaboration supports sustainable growth, governance discipline and operational scaling. Equity capital is deployed with a long-term horizon, prioritising alignment of interests and active ownership rather than short-term financial engineering.
Silesia Holding selectively invests in real assets that support or complement the group’s operating activities, including logistics-related infrastructure and strategically located real estate.
Our real assets strategy is execution-driven, focusing on assets with clear operational relevance, predictable cash flows and long-term utility. Investments are structured through direct ownership or joint ventures, with an emphasis on control, transparency and alignment with group strategy.
In addition to portfolio companies, Silesia Holding evaluates direct investment opportunities in privately held businesses where there is a strong operational rationale and long-term ownership potential.
These investments may involve minority or majority stakes and are assessed based on fundamentals, management quality, regulatory environment and strategic fit with the group. Where appropriate, Silesia Holding may support capital structuring or pre-transaction positioning, strictly within the context of its role as an owner or strategic investor.
All capital allocation and investment decisions within Silesia Holding are guided by a conservative governance framework, focusing on transparency, regulatory compliance and long-term sustainability.
We do not provide investment advisory services to third parties and do not market investment products. Our activities are limited to managing capital within the group and participating in selected transactions aligned with our ownership strategy.