Arvore Partners reported $350 million in assets under management and a portfolio of 10 Canadian lower mid-market companies as of Q2 2026. The portfolio generated $281 million in trailing twelve-month revenue and $41 million in gross EBITDA, with a Q2 2026 annualized distribution yield of 12.3%.
The Q2 2026 Fund Fact Sheet provides an overview of Arvore’s investment strategy, portfolio companies, historical distributions, fund structure and terms. It also details the Series F2 and P2 offerings, which are currently open to eligible Canadian investors.View Full Report
