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In the current market environment, PE firms benefit from an aggressive look at their portfolio companies to identify exposure to potential economic risks and proactively identify opportunities for rapid cost structure realignment, cash flow optimisation and capex prioritisation. A structured coordinated response is the best path to success in these turbulent times.

This publication examines an analytics-led approach into the portfolio company’s financial and operational performance focused on actions as well as a rapid two-week assessment across the cash-cost-customer-capital dimensions to help companies manage during demand volatility.

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Priscilla Huang

Partner, Co-Head of Private Equity KPMG China

Ryan Reynoldson

Partner, Co-Head of Private Equity KPMG China

Christoph Zinke

Partner, Head of Global Strategy Group KPMG China