Permira Growth Opportunities II

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GrowthInvestment PeriodEURGlobal Engagement : 4,5 Md €

Capital

NAV

8,9 M €

59% of commitment

Engagement

15 M €

total LP commitment

Unfunded

5,4 M €

remaining capital to be called

Distributions

0 €

cumulative distributions

Capital Called (PIC)9,6 M € / 15 M € · 64%

Performance

IRR net

vs MSCI Europe :
TVPI

0.93x

PIC

64.0%

Multiples

0.93x

TVPI

Total return

0.00x

DPI

Distributed

0.93x

RVPI

Unrealized

Realized (DPI)TVPI = DPI + RVPIUnrealized (RVPI)
0%100%

Duration

Holding Period

3.3 yrs

since vintage 2023

Fund Lifespan

Year 3 / 10

20232033

J-Curve
NAV vs Cumulative Capital Called
NAV Evolution

Fund Information

GP

Permira

Vintage

2023

Fund size

4,5 Md €

Reporting date

31 déc. 2025