Our Team


Peter Groznik


Peter Groznik
Peter Groznik is a Partner and a Member of the Investment Committee at MS CAP Fund.
With a strong academic background and extensive professional experience, he has developed a deep understanding of business and finance at both strategic and operational levels.
Peter is a partner at NorthGrant Consulting and has previously served as Managing Director at MSIN, Chairman of the Board at CETIS, CFO at Gorenje, and CEO at KD Skladi.
His expertise spans mergers and acquisitions, capital markets, corporate finance, investment management, and strategic planning. With experience across diverse industries, including identity and document management, home appliances, and asset management, Peter is a trusted partner known for overcoming challenges and driving long-term growth.
He holds a PhD in Business Administration from Indiana University and a BSc in Economics from the University of Ljubljana.
Our leadership team brings decades of expertise in investment management, corporate finance, and business transformation.


Luka Flere


Luka Flere
Luka Flere is a Partner and a Member of the Investment Committee at MS CAP.
Luka has held several key roles, including being a Board Member and Head of Asset Management at Generali Investments, where he oversaw investment strategies and portfolio management. He was also a Senior Portfolio Manager and Head of Research at KD Funds.
His areas of expertise include investment management, capital markets, mergers and acquisitions, financial analysis, and strategic planning.
With experience in financial services and asset management, Luka has successfully managed large portfolios and developed strategic financial plans, earning a reputation as a trusted advisor in the investment community.
Luka holds a Master’s degree in Economics from Università Bocconi in Milan, a Bachelor’s degree in Banking and Finance from the Faculty of Economics in Ljubljana, and has earned the CFA certification.


Jožica Turk


Jožica Turk
Jožica Turk is a Partner and a Member of the Investment Committee at MS CAP Fund.
She has held key executive roles, including CFO at Volvo Adriatic North and Resalta, Executive VP of Corporate Finance at Gorenje, and Executive Director for Risk Management at Gorenje, where she oversaw financial strategy and risk mitigation. She also served as Director of Portfolio Investment at Gorenje, enhancing her expertise in investment and financial oversight.
Jožica’s core competencies include corporate financial management, investment and risk management, debt sourcing, corporate governance, strategic and operational planning, and mergers and acquisitions. Jožica has a strong background in the home appliances, automotive, and energy services sectors.
She holds a Bachelor of Science in Banking and Finance from the Faculty of Economics, University of Maribor


Karin Mohar


Karin Mohar
Karin Mohar is the Head of Back Office and ESG at MS CAP Fund.
Karin started her career at MSIN Group as an Executive Assistant, gaining valuable insight into business and financial processes. She then joined Salus Group, focusing on client relations, service coordination, and logistics, which provided her with key insights into the healthcare industry. Karin later returned to MSIN Group as a Project Manager, leading process optimization initiatives.
Her diverse experience in executive assistance, account management, business development, financial controlling, and project management provided her with the skills necessary to navigate both corporate and entrepreneurial environments.
Karin holds a Master’s degree in Business and Organization from the School of Economics and Business, University of Ljubljana.


Rok Požun


Rok Požun
Rok Požun is the Head of Risk Management at MS CAP Fund.
Rok began his career as a financial analyst at NorthGrant Consulting, gaining hands-on experience in mergers and acquisitions, wealth management, and corporate finance. He played a role in evaluating investment opportunities, developing tailored strategies, and optimizing capital structures.
Additionally, he served as a teaching assistant for both undergraduate and graduate Statistics courses at the School of Economics and Business, University of Ljubljana.
Rok Požun holds a Master’s degree in Quantitative Finance from the School of Economics and Business, University of Ljubljana
With his academic background and professional experience, Rok has developed a robust and multifaceted skill set in data analysis, financial modelling, and statistical inference.