// SECTOR INVESTOR DOSSIER
Investors in Risk Management
9 investors with active positions in Risk Management unicorns — combined exposure across this sector $28B in paper valuation.
Note: combined paper valuation reflects overlapping investor positions — individual investors hold stakes in the same companies.
Goldman Sachs
INVESTMENT BANK1 company in sector · $4.1B
↑ 31% PORTFOLIO STRENGTH↓ 44% PORTFOLIO RISKFidelity Investments
VC FUND1 company in sector · $4.1B
↑ 37% PORTFOLIO STRENGTH↓ 59% PORTFOLIO RISKInstitutional Venture Partners
VC FUND1 company in sector · $4.1B
↑ 26.7% PORTFOLIO STRENGTH↓ 53.3% PORTFOLIO RISKVenrock
VC FUND1 company in sector · $4.1B
↑ 42.9% PORTFOLIO STRENGTH↓ 28.6% PORTFOLIO RISKMorgan Stanley Alternative Investment Partners
INVESTMENT BANK1 company in sector · $4.1B
Thomas H. Lee Partners
VC FUND1 company in sector · $4.1B
IDG Capital
VC FUND1 company in sector · $1B
↑ 25% PORTFOLIO STRENGTH↓ 25% PORTFOLIO RISKSequoia Capital China
VC FUND1 company in sector · $1B
↑ 23% PORTFOLIO STRENGTH↓ 44% PORTFOLIO RISKExisting Investors
VC FUND1 company in sector · $1B