What we offer

Liquid Strategies

Miria offers a diversified range of liquid strategies investing in listed equity and credit securities across the capital structure, using approaches including fundamental, market-neutral, and long/short investing across the capital structure.

The investment strategies include global exposures with a particular focus on Europe, as well as dedicated strategies focused on listed Italian small and mid-cap companies. Through a flexible approach based on rigorous fundamental analysis, proprietary research and disciplined risk management, the Group seeks to capture opportunities arising from market inefficiencies, corporate events, special situations and temporary dislocations in value.

Through fund-of-funds, separately managed accounts (SMAs) and tailored co-investment solutions for institutional investors and selected partners, Miria seeks to balance return generation and capital preservation, focusing on medium to long-term growth, low volatility and limited correlation to traditional markets.

ESG considerations are integrated into the investment process where relevant and consistent with the pursued strategy, in line with the Group’s internal sustainability and risk management framework.

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Commercial Real Estate Debt

The Miria team invests in the European real estate private debt market across the capital structure for the acquisition, development and refinancing of CRE assets.

Miria focuses on selecting optimal investment opportunities from market segments that typically fall outside the interest of mainstream lenders because of the smaller deal size, structuring complexity and the characteristics of collaterals.

The approach is based on a sophisticated origination strategy supported by a rigorous credit underwriting discipline focused on creating a strong downside protection.

Discover our recent projects and investments
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Advisory Services

Miria provides tailored financial guidance to institutions and businesses, helping them navigate the complex investment landscapes. With expertise in real estate, infrastructure, natural resources, equities, and bonds across public and private markets, Miria identifies opportunities that balance risk and return while supporting long-term financial goals.

Miria’s team global insight, combined with local market expertise, ensures well-informed investment strategies. A strong focus on Environmental, Social, and Governance (ESG) integration aligns portfolios with ethical and sustainable practices.

Miria emphasises capital preservation and risk management, offering comprehensive support for wealth management and future planning, ensuring lasting value for its clients.

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Real Estate

Miria invests in private equity value-add strategies over real estate assets in Europe, across a wide risk spectrum ranging from core transactions to opportunistic investments.

The investment team targets complex investments and inefficiently financed situations looking for the opportunity to unlock value through lease-up, repositioning and redevelopment.

Miria’s strategy benefits from in-house real estate sector specialists (retail, office, residential, hospitality), an established sourcing network and consolidated relationships with the leading players.

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