MEDIN Fund Management Company S.A., branded MEDIN VC, is a Tunisian regulated venture-capital manager connecting Maghreb research and development with European and Silicon Valley markets. It backs early-stage companies in AI software and hardware, life sciences, cybersecurity and other frontier technologies. Tunisia’s financial regulator identifies legal entity RNE1825463X, incorporated May 30, 2023, and a portfolio-management licence granted November 10, 2022. Its current public team names co-founders and general partners Noomane Fehri and Ghazi Ben Othman, plus venture partner and investment-committee member Sami Ben Romdhane. A broader venture-partner network is described without a complete named roster. MEDIN manages Titan Seed Fund I, with distinct Euro and Tunisian-dinar compartments. Audited year-end 2025 Euro-compartment accounts distinguish EUR6M subscribed by ANAVA from EUR3M cumulative capital contributions and EUR2.58M net assets; these figures are not interchangeable and do not establish a final overall fund close. Current headquarters in the regulatory accounts are Les Berges du Lac, Tunis; the firm also lists Paris and San Francisco. Its public portfolio includes AI diagnostics, acoustic gastrointestinal monitoring, computational and quantum technologies, cybersecurity and drug discovery. Portfolio marketing and product-effectiveness claims are qualified as company statements.
Founded
2023
Type
Venture capital
Funds2
Titan Seed Fund I — Dinars——
Separate Tunisian-dinar compartment of the Titan Seed Fund specialised investment fund managed by MEDIN Fund Management Company, promoted with BTK Bank. CMF approval57-2023 July13,2023; public subscriptions opened September25,2023. TND17M is the 2023 target, not verified paid proceeds. Independent compartment governance and accounts; no final close amount/date verified.
Titan Seed Fund I — Euros——
Euro compartment of the Tunisian specialised investment fund Titan Seed Fund I, managed by MEDIN Fund Management Company S.A.; CMF approval58-2023 July13,2023, fiscal1838877K/N/N/000. Audited December31,2025 accounts report EUR6M ANAVA subscribed commitments and EUR3M cumulative actual contributions (EUR1.5M in the first accounting period and EUR1.5M during2025). Net assets EUR2,577,570 are not fundraising proceeds. First payment December11,2023 is not a final fund close. No verified final close amount/date; structured amount/date remain NULL.