// SECTOR INVESTOR DOSSIER
Investors in Consumer Finance
41 investors with active positions in Consumer Finance unicorns — combined exposure across this sector $1,037B in paper valuation.
Note: combined paper valuation reflects overlapping investor positions — individual investors hold stakes in the same companies.
Tiger Global Management
VC FUND2 companies in sector · $57B
↑ 16% PORTFOLIO STRENGTH↓ 26% PORTFOLIO RISKDST Global
VC FUND1 company in sector · $55B
↑ 25% PORTFOLIO STRENGTH↓ 30% PORTFOLIO RISKGoldman Sachs
INVESTMENT BANK1 company in sector · $55B
↑ 31% PORTFOLIO STRENGTH↓ 44% PORTFOLIO RISKMorgan Stanley
INVESTMENT BANK1 company in sector · $55B
↑ 41% PORTFOLIO STRENGTH↓ 51% PORTFOLIO RISKJPMorgan Chase
INVESTMENT BANK1 company in sector · $55B
↑ 23% PORTFOLIO STRENGTH↓ 49% PORTFOLIO RISKFounders Fund
VC FUND1 company in sector · $55B
↑ 15% PORTFOLIO STRENGTH↓ 28% PORTFOLIO RISKDragoneer Investment Group
VC FUND1 company in sector · $55B
↑ 27% PORTFOLIO STRENGTH↓ 12% PORTFOLIO RISKCitigroup
INVESTMENT BANK1 company in sector · $55B
↑ 38.9% PORTFOLIO STRENGTH↓ 55.6% PORTFOLIO RISKSequoia Capital
VC FUND1 company in sector · $55B
↑ 16% PORTFOLIO STRENGTH↓ 30% PORTFOLIO RISKThrive Capital
VC FUND1 company in sector · $55B
↑ 20% PORTFOLIO STRENGTH↓ 16% PORTFOLIO RISKRibbit Capital
VC FUND1 company in sector · $55B
↑ 19% PORTFOLIO STRENGTH↓ 23% PORTFOLIO RISKTCV
VC FUND1 company in sector · $55B
↑ 29% PORTFOLIO STRENGTH↓ 25% PORTFOLIO RISKKaszek Ventures
VC FUND1 company in sector · $55B
↑ 8.3% PORTFOLIO STRENGTH↓ 8.3% PORTFOLIO RISKRedpoint eventures
VC FUND1 company in sector · $55B
QED Investors
VC FUND1 company in sector · $55B
↑ 12.5% PORTFOLIO STRENGTH↓ 12.5% PORTFOLIO RISKTencent Holdings
CORPORATE1 company in sector · $55B
↑ 38.9% PORTFOLIO STRENGTH↓ 38.9% PORTFOLIO RISKBerkshire Hathaway
VC FUND1 company in sector · $55B
Sands Capital
VC FUND1 company in sector · $55B
↑ 50% PORTFOLIO STRENGTH↓ 25% PORTFOLIO RISKPeter Thiel
ANGEL1 company in sector · $2B
↑ 50% PORTFOLIO STRENGTH↓ 37.5% PORTFOLIO RISKIDG Capital
VC FUND1 company in sector · $2B
↑ 25% PORTFOLIO STRENGTH↓ 25% PORTFOLIO RISKGeneral Atlantic
VC FUND1 company in sector · $2B
↑ 22% PORTFOLIO STRENGTH↓ 22% PORTFOLIO RISKKKR
VC FUND1 company in sector · $2B
↑ 33.3% PORTFOLIO STRENGTH↓ 16.7% PORTFOLIO RISKAnt Financial
VC FUND1 company in sector · $2B
↑ 37.5% PORTFOLIO STRENGTH↓ 37.5% PORTFOLIO RISKSequoia Capital India
VC FUND1 company in sector · $2B
↑ 6% PORTFOLIO STRENGTH↓ 24% PORTFOLIO RISKWarburg Pincus
VC FUND1 company in sector · $2B
↑ 7.1% PORTFOLIO STRENGTH↓ 50% PORTFOLIO RISKAugust Capital
VC FUND1 company in sector · $2B
↑ 0% PORTFOLIO STRENGTH↓ 66.7% PORTFOLIO RISKRRE Ventures
VC FUND1 company in sector · $2B
↑ 0% PORTFOLIO STRENGTH↓ 80% PORTFOLIO RISKPavilion Capital
VC FUND1 company in sector · $2B
New Horizon Capital
VC FUND1 company in sector · $2B
SoftBank Ventures Asia
VC FUND1 company in sector · $2B
↑ 0% PORTFOLIO STRENGTH↓ 28.6% PORTFOLIO RISKAnt Group
VC FUND1 company in sector · $2B
↑ 33.3% PORTFOLIO STRENGTH↓ 0% PORTFOLIO RISKNorthstar Group
VC FUND1 company in sector · $2B
Victory Park Capital
VC FUND1 company in sector · $2B
↑ 0% PORTFOLIO STRENGTH↓ 75% PORTFOLIO RISKDRW Venture Capital
VC FUND1 company in sector · $2B
Jefferson River Capital
VC FUND1 company in sector · $2B
Jefferies Finance
VC FUND1 company in sector · $2B
MNC Group
VC FUND1 company in sector · $2B
Standard Chartered Private Equity
VC FUND1 company in sector · $2B
Undisclosed Strategic Investors
VC FUND1 company in sector · $1.5B
Legend Capital
VC FUND1 company in sector · $1.5B
↑ 0% PORTFOLIO STRENGTH↓ 66.7% PORTFOLIO RISKLenovo Holdings
VC FUND1 company in sector · $1.5B