Considerable yield. Real assets. Structured downside protection.
Fund Overview.
Magna Special Situations Fund acquires high-cash-flowing surfacing and infrastructure businesses at attractive entry multiples (~3x EBITDA) with a target exit of 7–10x within approximately three years.
Beyond financial structuring, the fund actively drives operational efficiency through consolidation and professional management. This approach provides partial liquidity to long-term owners while offering limited partners structured exposure to equity upside and real asset performance.
2–3x MOIC Target (3-Year Horizon)
8% Preferred Return (with Catch-Up)
Tiered Share Classes with Equity Upside
Real Asset Exposure (construction materials, surfacing, courts)
Strategy Framework
Magna Harmonia operates a systematic, signal-driven trading framework across futures, ETFs, and equities. The strategy combines quantitative models with human oversight, emphasizing disciplined execution, volatility control, and drawdown management.
Dynamic position sizing
Volatility control
Multi-tier stop-loss system
Continuous risk monitoring
Structure.
Review Fund Documentation.
Detailed materials outlining strategy, structure, performance metrics, and risk considerations.