Profil
Mr. Markwin H.
Maring is a Chief Executive & Financial Officer, Director at Cannonau Corp., a Founder & Chief Executive Officer at Concordia Capital Netherlands BV and a Chairman at Skycom Mobile Inc. He is on the Board of Directors at Cannonau Corp.
and United Telecom NV.
Mr. Maring was previously employed as a Managing Director by CF Management Rotterdam BV.
Postes actifs de Markwin Maring
| Sociétés | Poste | Début |
|---|---|---|
| CANNONAU CORP. | Directeur Général | - |
Concordia Capital Netherlands BV
Concordia Capital Netherlands BV Investment ManagersFinance Concordia Capital Netherlands BV invests in companies located in United Arab Emirates, Belgium, Switzerland, Germany, United Kingdom, Indonesia, Luxembourg and Netherlands. It participates in various transactions and focuses on a wide range of sectors and industries. | Directeur Général | 01/01/2001 |
United Telecom NV
United Telecom NV Specialty TelecommunicationsCommunications Provides telecommunications services | Directeur/Membre du Conseil | - |
Anciens postes connus de Markwin Maring
| Sociétés | Poste | Fin |
|---|---|---|
CF Management Rotterdam BV
CF Management Rotterdam BV Investment ManagersFinance CF is an active, long-term manager which seeks growth opportunities across a broad range of sectors primarily in unlisted mid-sized firms located in The Netherlands, in addition to Belgium, Luxembourg and Germany for MPF. They do not invest in start-up firms or in businesses that have operating losses. The firm seeks transaction profits by buying and selling participating interests in established mid-sized firms having operated for a minimum of two complete fiscal years. They focus on profitable firms with a clear growth strategy and with minimum revenues of EUR 5 million. They avoid investments in sectors such as weapons, hospitality, real estate, insurance and forward trading. At the start of each venture, an exit strategy is established by the portfolio firm's management team. The investment horizon is generally three to five years. The CF investment strategy seeks a balanced portfolio risk. They focus on LBOs with a preference for majority stakes. Investment sizes range from EUR 500 thousand to EUR 12 million. They look for profitable firms requiring additional financing for growth through acquisitions, value creation, marketing and optimization of processes. They typically target eight to 12 portfolio holdings. Their exit strategy is generally from three to five years. | Director of Investments | 01/01/2010 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 4 |
|---|---|
Cannonau Corp.
Cannonau Corp. Other Consumer ServicesConsumer Services Generates renewable energy | Consumer Services |
CF Management Rotterdam BV
CF Management Rotterdam BV Investment ManagersFinance CF is an active, long-term manager which seeks growth opportunities across a broad range of sectors primarily in unlisted mid-sized firms located in The Netherlands, in addition to Belgium, Luxembourg and Germany for MPF. They do not invest in start-up firms or in businesses that have operating losses. The firm seeks transaction profits by buying and selling participating interests in established mid-sized firms having operated for a minimum of two complete fiscal years. They focus on profitable firms with a clear growth strategy and with minimum revenues of EUR 5 million. They avoid investments in sectors such as weapons, hospitality, real estate, insurance and forward trading. At the start of each venture, an exit strategy is established by the portfolio firm's management team. The investment horizon is generally three to five years. The CF investment strategy seeks a balanced portfolio risk. They focus on LBOs with a preference for majority stakes. Investment sizes range from EUR 500 thousand to EUR 12 million. They look for profitable firms requiring additional financing for growth through acquisitions, value creation, marketing and optimization of processes. They typically target eight to 12 portfolio holdings. Their exit strategy is generally from three to five years. | Finance |
United Telecom NV
United Telecom NV Specialty TelecommunicationsCommunications Provides telecommunications services | Communications |
Concordia Capital Netherlands BV
Concordia Capital Netherlands BV Investment ManagersFinance Concordia Capital Netherlands BV invests in companies located in United Arab Emirates, Belgium, Switzerland, Germany, United Kingdom, Indonesia, Luxembourg and Netherlands. It participates in various transactions and focuses on a wide range of sectors and industries. | Finance |
















