PELAGIC FUND I
INVESTOR TYPE: Well Informed, Professionals
CySEC Registration No.
RAIF30_1
CySEC Registration Date
15/06/2020
Company Name
H.M. Pelagic Partners RAIF V.C.I.C. Plc
Company Registration No.
HE408436
Fund Type
RAIF UMBRELLA
Strategy
Shipping
Depositary
Eurobank Cyprus Ltd
Administrator
PRICEWATERHOUSECOOPERS FUND SERVICES LIMITED
Auditor
DELOITTE LIMITED
Legal Consultant
AMG MYLONAS & ASSOCIATES LLC
Type of Investor
Well Informed/Professional
Investment Objective
The External Manager aims to provide the Investors of the Compartment with ideal returns by investing the Compartment’s raised capital in the shipping industry. The Compartment’s strategy has been constructed in such a way that will enable its investors to achieve an optimum return with as much elimination of risk exposure as possible.
The Compartment aims to implement a diversification strategy, investing in various types of vessels (e.g. Bulk Carriers) taking into consideration the type of investment opportunities that each type of vessel may offer. In addition, the Company’s fuel-efficient operations are designed in such a way to enhance the Compartment’s investment returns and provide value added service to Investors.
The Compartment shall invest in a manner so as to achieve attractive levels of total return on capital invested in the shipping sector. The primary objective of the Compartment shall be to create value for its Investors as the External Manager believes that there are significant growth opportunities to pursue in the current shipping market environment.