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Data Technology

MGP
Private Equity

PRIVATE EQUITY INVESTMENT STRATEGY

We Acquire. Scale. Exit.

MGP's Private Equity 4IR strategy gives us a competitive edge and advantage over other investment firms.

PRIVATE EQUITY STRATEGY

MGP Private Equity Investments Vehicles

Real Estate

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Digital Assets

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Financial Services

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Natural Resources

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Technology

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Power & Energy

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PRIVATE EQUITY CRITERIA 

Mergers & Acquisitions

PRIVATE EQUITY CRITERIA 

Mergers & Acquisitions

Value Added Distribution

01

Business Services

02

Residential Services

03

Financial Technology & Services

04

Energy Transition & Climate Technology

05

Healthcare

06

Niche Manufacturing

07

  • $50-80M Sweet Spot

    $20-100M

  • United States & Canada

  • $1 million+ EBITDA - $10 million+ ARR

MGP creates a dynamic portfolio for optimal returns using proven market research techniques. Our primary objective is to yield significant returns by capitalizing on sectors with substantial addressable market sizes and substantial potential for growth.

How We Add Value To Our Portfolio Company’s

Manhattan Global Partners
Investment Criteria

01
Private Capital Investments

02
Treasury Management

03
Risk Managment

04
Asset Managment

05
Capital Markets Consultancy

06

Strategic Exit IPO or ICO

07

A.I Agents Development & Deployment

08

Hard Asset Tokenization

Blockchain Integration

01

Residential

02

Commercial

03

Mixed-Use

04

​Value add

05

Land Development

Strategic Partnership

Co-GP 

Joint Venture Partnership

Co-Invest

WHO WE ARE

Meet the Founders

“Only when the tide goes out do you discover who's been swimming naked.”

— Warren Buffet

SARAH SUAREZ

CEO

This is the space to introduce the business’s team and what makes it special.

MIKE DENG

VPE

This is the space to introduce the business’s team and what makes it special.

REAY FINIGAN

CTO

This is the space to introduce the business’s team and what makes it special.

PRIVATE EQUITY STRATEGY

MGP 9-Step 4IR Fund Strategy

  • MGP Private Equity (MGP) is a firm focused on financing mergers and acquisitions (M&A) and consolidating business and real estate investments.

     

    Our 4IR strategy harnesses the power of the Fourth Industrial Revolution (4IR)—including artificial intelligence (AI), blockchain, robotics, deep tech, automation, financial engineering, and advanced cybersecurity—to acquire, restructure, and optimize undervalued businesses and real estate assets. We specialize in identifying High-value, market-undervalued businesses and real estate opportunities, transforming them into high-value assets, and realizing profits through strategic exits.

    Our M&A approach is grounded in comprehensive AI-driven market research and development. This research incorporates fundamental, technical, economic, regulatory, qualitative, and quantitative analyses to develop performance matrices that drive value creation. The integration of our 4IR private investment fund strategy provides us with a distinct competitive advantage over other investment firms. This strategy eliminates the need for third parties, including banks, where we source debt and equity through our in-house financial ecosystems through our private investment funds 506c REG D.

     

    At MGP, our core objective is to generate significant returns by targeting sectors with vast market potential and exceptional growth opportunities. Investor protection is central to our strategy, which is why we prioritize risk mitigation through strategic innovation and hedging techniques.

  • MGP Investment Thesis

    Our Approach to Growth, Optimization, and Value Creation

    At Manhattan Global Partners, we leverage cutting-edge technology, strategic acquisitions, and active asset management to drive growth and maximize investor returns. MGP's investment thesis is about leveraging the silver tsunami for boring business consolidation and also the "Great Wealth Transfer," a significant intergenerational transfer of wealth from Baby Boomers to Millennials and Gen Z, with an estimated $68 trillion to $124 trillion in assets expected to change hands over the coming decades. MGP investment thesis is what empowers our 2040 multi-trillion-dollar initiative within the private sector. 

    Here’s how we do it:

    A. Fundamental Analysis: Identifying High-Value Assets

    • Target businesses and real estate assets with untapped potential and significant upside.

    • Focus on acquisitions that can be optimized for high profitability and consistent dividends.

    • Consolidate competitors through strategic mergers & acquisitions to dominate markets.

    B. Capital Adequacy, Financial Engineering & Treasury Management

    • Debt and equity restructuring to optimize capital allocation and enhance financial flexibility.

    • Balance sheet restructuring for liquidity, solvency, and asset optimization.

    • Treasury management strategies to hedge against market volatility and maximize returns.

    • Advanced financial engineering to structure capital stacks that maximize investor yield.

    C. Technical Analysis: AI-Driven Market Timing

    • Machine learning models for optimal entry & exit points in acquisitions.

    • Blockchain smart contracts to automate and secure transactions, enabling transparency, accountability, and efficiency.

    • AI-powered risk management systems to predict and mitigate financial risks.

     

    D. Economic, Regulatory & Risk Management Analysis

    • Target high-growth add-on sectors in 4IR-driven industries.

    • Ensure full compliance with crypto, financial, and real estate regulations.

    • Implement multi-layer cybersecurity to protect sensitive data and financial transactions.

    • Assess liquidity, volatility, and transparency for capital allocation.

    • ESG ratings integration in financial models to optimize fund performance and risk exposure.

    E. Advanced Systems & Process Optimization

    • AI-driven financial modeling to assess, restructure, and optimize add-on acquisitions.

    • Robotics & automation to streamline business processes and eliminate inefficiencies.

    • Data visualization & predictive analytics for better decision-making and risk mitigation.

    • Cybersecurity infrastructure to safeguard digital assets, intellectual property, and sensitive financial data.

    F. Digital Transformation & Process Automation

    • AI-driven marketing & programmatic advertising for high-ROI digital campaigns.

    • Automated supply chain, inventory, and workforce management using predictive analytics.

    • Blockchain tokenization for fractional ownership, enhanced liquidity, and digital security.

    G. Competitive Positioning & Market Domination

    • Acquire and consolidate competitors to expand market share.

    • AI-powered PR analytics to enhance public perception and investor confidence.

    • Deploy AI-driven pricing strategies to increase profitability.

    • Comprehensive talent development to ensure future-ready leadership and workforce. Human Capital Management

     

  •  

    Investment Thesis for the MGP Private Real Estate Fund

    The MGP Private Real Estate Fund strategically acquires undervalued, income-generating, and distressed real estate assets with substantial upside potential. Through value-add renovations, operational enhancements, and active asset management, the fund drives property appreciation and enhances cash flow. The fund’s diversified portfolio across multifamily, industrial, retail, and hospitality sectors mitigates risk while maximizing returns. Utilizing debt financing to optimize capital structure and deploying flexible exit strategies, such as asset sales, refinancing, and mergers and acquisitions, the fund aims to deliver consistent income, capital growth, and superior risk-adjusted returns for its investors.

    Real Estate, Adaptive Reuse Strategy

    Asset-Backed Investments:

      • Focus on income-generating real estate with strong appreciation potential.

      • Prioritizing stabilized and value-add properties to maximize returns.

    1. Diversified Portfolio:

      • Investing in a mix of multifamily, industrial, retail, and hospitality assets.

      • Spreading investments across different geographic locations to mitigate risk.

    2. Opportunistic Acquisition Strategy:

      • Targeting undervalued and distressed assets for significant upside potential.

      • Leveraging market dislocations to acquire properties at discounted prices.

    3. Active Asset Management:

      • Implementing value-add strategies through property enhancements, renovations, and improved operations.

      • Driving revenue growth and asset appreciation.

    4. Credit and Equity Financing:

      • Utilizing debt financing to optimize leverage and boost equity returns.

      • Structuring investments with preferred equity positions for downside protection.

    5. Long-Term Value Creation:

      • Holding assets for long-term appreciation and steady cash flow.

      • Strategic asset sales at peak valuations to maximize investor ROI.

    6. Risk Mitigation & Capital Preservation:

      • Prioritizing capital preservation through conservative underwriting.

      • Diversified deal sourcing to reduce exposure to any single market or asset type.

    7. Targeted Investor Returns:

      • Aiming for attractive risk-adjusted returns with stable income distributions.

      • Offering consistent cash flow and potential capital gains upon asset exits.

    8. Exit Strategy:

    • Implementing flexible exit strategies, including:

      • Property sales

      • Refinancing

      • Recapitalization

      • Mergers & acquisitions to deliver liquidity events for investors.

  • Competitive Edge:

    • Our unique 4IR fund structure integrates private equity, private credit, and private hedge fund strategies.

     

    This diversification allows us to:

    • Mitigate Risks: Through deliberate diversification and hedging across asset classes.

    • Capture Value: By capitalizing on undervalued opportunities in both business and real estate sectors.

    • Enhance Returns: Leverage multiple revenue streams and robust risk management practices.

    • Build AI-driven business solutions for process automation and operational efficiency.

    • Develop AI agents to identify inefficiencies, optimize workflows, and solve complex problems.

    • Leverage AI-powered cybersecurity solutions for real-time threat detection and prevention.

    • Deploy AI in finance to analyze capital structures, risk exposure, and predictive economic trends.

    • Intent-Based Targeting: Leverage AI to identify and engage high-conversion leads based on real-time behavior and intent signals.

    • Predictive Lead Scoring: Use machine learning models to rank and prioritize leads for higher conversion rates.

    • Dynamic Audience Segmentation: AI segments audiences by demographics, interests, and behaviors for hyper-targeted ads.

    • Personalized Ad Content: Deploy AI-generated ad variations with tailored messaging to maximize relevance and engagement.

    • Automated Lead Nurturing: Use AI-powered chatbots and drip campaigns for real-time lead qualification and follow-ups.

    • Real-Time Ad Optimization: AI continuously monitors and adjusts campaigns for maximum performance and ROI.

    • Deep Data Mining: Extract and analyze behavioral and firmographic data to enhance targeting precision.

    • AI-Powered Retargeting: Use behavior-based retargeting to re-engage warm leads and boost conversions.

    • Conversion Rate Optimization: AI refines landing pages, CTAs, and offers based on real-time user behavior.

    • Performance Analytics & Forecasting: AI provides real-time insights and ROI predictions for continuous improvement.

  •  

    Revenue Model

    • Acquisition Arbitrage: Buying competitors undervalued add-on assets, optimizing IP.

    • Dividend Yield: Maintaining revenue-generating assets for consistent investor payouts.

    • Tokenized Asset Sales: Using blockchain tokenization to enhance liquidity and valuation.

    • White Labeling – Expanding Reach Under Partner Brands allowing them to market and distribute the solutions as their own.

    • Franchise Model 

    • Global Expansion Strategy

    • F1 Partnership Strategy

    • NASCAR Collaboration Strategy

    Revenue Recognition Optimization

    • Accelerate Revenue Recognition: Adjust accounting policies to recognize revenue earlier by aligning with industry-standard accounting principles (e.g., ASC 606 or IFRS 15).

    • Multi-Year Contracts: Bundle contracts or offer multi-year deals with upfront payments, allowing for immediate revenue booking.

    • Deferred Revenue Reassessment: Reevaluate deferred revenue schedules to realize income sooner, boosting top-line figures.

    Strategic Pricing & Bundling

    • Price Harmonization: Standardize pricing models across the consolidated companies, increasing rates where feasible.

    • Cross-Selling & Upselling: Introduce bundled products or services that leverage the newly combined customer base, increasing per-customer revenue.

    • Dynamic Pricing Models: Use AI-driven dynamic pricing to optimize margins and capture additional value during peak demand periods.

    Expense Capitalization & Cost Allocation

    • Capitalize Operating Costs: Shift qualifying operating expenses into capital expenses (CapEx), reducing immediate operating costs and boosting EBITDA.

    • Cost Reallocation:

      • Allocate more costs to non-operating expenses or R&D to reduce operating costs.

      • Use intercompany transfer pricing strategies to optimize taxable income distribution.

    • Optimize Depreciation & Amortization: Extend the useful life of assets to lower depreciation expenses and increase net income.

    Financial Synergies & Revenue Multipliers

    • Revenue Multiplication from M&A Synergies:

      • Combine complementary products or services to increase customer lifetime value (CLV).

      • Cross-market to the expanded customer base, driving incremental sales.

    • New Revenue Streams:

      • Launch subscription-based models, licensing deals, or ancillary services across the combined entity.

      • Leverage data-driven insights to create targeted, high-margin offers.

    Balance Sheet Optimization & Financial Engineering

    • Reclassify Liabilities: Convert short-term liabilities into long-term obligations, improving current ratios and financial stability.

    • Leverage Debt for Buybacks or Dividends:

      • Use newly consolidated assets to secure favorable debt terms, reducing the weighted average cost of capital (WACC).

      • Implement share buybacks or special dividends to enhance earnings per share (EPS) and investor appeal.

    • Tax Efficiency Strategies:

      • Utilize tax-loss harvesting or net operating loss (NOL) carryforwards to offset taxable income.

      • Restructure for favorable tax jurisdictions, lowering tax burdens and improving net profitability.

    Risk Management & Cybersecurity

    • AI-driven predictive analytics for financial risk mitigation.

    • Multi-layer cybersecurity measures for data protection, digital assets, and fraud prevention.

    • Regulatory compliance framework to ensure transparency and legal security.

    • ESG compliance for sustainable investment strategies.

  • MGP’s Competitive Advantage in Private Equity M&A

    MGP’s Fix 4IR Flip strategy redefines private equity by integrating AI, blockchain, automation, cybersecurity, and financial restructuring into a next-gen investment model.

     

    Through strategic acquisitions, AI-powered optimizations, and high-yield exits, we don’t just compete—we dominate markets and set new industry standards.

  • Monetizing Optimized Assets for Maximum Returns

    A. Value Realization

    • Sell businesses and real estate via M&A deals, IPOs, REITs, or blockchain-based exits.

    • Position companies as tech-driven, AI-optimized enterprises for premium valuations.

    B. Profit Capture

    • AI-driven market analytics to time optimal exits for maximum ROI.

    • Blockchain liquidity pools to facilitate faster, higher-value asset sales.

    • Structured capital exits to ensure superior investor returns.

INVESTMENT THESIS

Thematic Regulated Investment Thesis

“Only when the tide goes out do you discover who's been swimming naked.”
Warren Buffet

Fundamental Analysis

  • Identifying Undervalued Sector Assets.

  • Target significant upside that pays a consistent dividend.

Technical Analysis
  • Leveraging technical analysis to time, entries, and exists.

  • Business Rationale Application of DLTs.

Economic Analysis
  • Sector Analysis Target above-average growth.

  • Economic environment Analysis.

Regulatory Analysis
  • Regulatory Status of Crypto.

  • Sufficient transparency.

  • Size liquidity and Volatility.

  • Adequacy and Suitability.

  • Risk Associated with Crypto & appropriateness of controls.

4IR

MGP is leveraging the Fourth Industrial Revolution to innovate create and disrupt businesses

Technological Transformation

  • Technologically transforming business that we acquire within our mergers and acquisitions and real estate investment portfolio companies.

Digital Transformation
  • Digital transformation fueled by A.I marketing Where innovation meets precision, and data drives disruption.

Blockchain Transformation
  • Blockchain tokenization transforms assets into fluid, digital opportunities, reshaping the future of ownership, security, transparency, and accountability.

​Generative AI
  • Developing a comprehensive and sophisticated training module to address intricate challenges. This module will serve as a cornerstone for the future, encapsulate the business strategy, and confer an unrivaled competitive advantage in the marketplace.

PRIVATE EQUITY STRATEGY

Our Innovative Technology and Expertise Delivers Unmatched Analysis

MGP Funds Managers Have a Balanced Investment Approach by Incorporating the Following Strategies.

Our investment strategy leverages cutting-edge A.I technology and innovative entrepreneurial approaches to analyze market trends, identify opportunities and risks, to make data-driven investment decisions that maximize returns and minimize risk.

We continuously monitor and adapt to changing market conditions and regulations, maintain strong compliance and risk management practices, and collaborate with leading industry experts and partners to stay ahead of the curve.


MGP Private Equity Mission Statement
 

  • To acquire, transform, and scale businesses and real estate assets using cutting-edge technology, financial engineering, and risk management, creating high-value market leaders.
     

MGP Private Equity Business Model
 

  • Arbitrage Acquisition of undervalued businesses and real estate.
     

  • Optimization through AI-driven automation, blockchain tokenization, debt & equity restructuring, and operational restructuring.
     

  • Exit Strategy via M&A deals, IPOs, REITs, or tokenized exits for maximum investor returns.

    MGP identifies business pain points and inefficiencies, and we then develop and deploy AI agents and complex training models to give our businesses a competitive advantage in the marketplace. These AI agents work 24 hours a day, seven days a week, mining data for our companies.

     

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