Ilinsio Multi Investment Strategy Fund

Category
Private Equity
Investor Type
Well Informed
Professionals
SFDR Disclosure
No sustainable investment objective

Investment Objective

The Company will employ a quantitative approach with strict risk management protocols to manage and control downside, whenever listed instruments are concerned. A systematized approach, coupled with the core tenet of prudent portfolio management – diversification, allows the strategy to perform in any economic environment.

The main idea of vague and extended mandate which would include various investment instruments is the fact that:

  1. the Compartment is not bound by the term (it’s set up for unlimited life) and;
  2. during the life of the Compartment the circumstances in each particular sector, country or even particular financial instrument (e.g. stocks vs fixed income or private vs public equity) change with changes in various central bank policies, country policies, major negative events and other factors.

The Portfolio Manager intents to employ these trends (positive or negative) in order to generate sustainable positive return to investors.

No sustainable investment objective.

     Privacy Policy and Legal Disclaimer.

     

    Fund details

    TYPE OF INVESTOR
    WELL INFORMED, PROFESSIONALS
    CYSEC REGISTRATION NO.
    RAIF72
    CYSEC REGISTRATION DATE
    12/04/2021
    COMPANY NAME
    ILINSIO CAPITAL RAIF V.C.I.C. LTD
    COMPANY REGISTRATION NO.
    HE418334
    STRATEGY
    Multi Strategy
    DEPOSITARY
    Mega Equity Securities & Financial Services Public Limited
    ADMINISTRATOR
    PRICEWATERHOUSECOOPERS Fund Services Limited
    AUDITOR
    PRICEWATERHOUSECOOPERS Fund Services Limited
    LEGAL CONSULTANT
    L. PAPAPHILIPPOU & Co Ltd

    Investment Objective

    The Company will employ a quantitative approach with strict risk management protocols to manage and control downside, whenever listed instruments are concerned. A systematized approach, coupled with the core tenet of prudent portfolio management – diversification, allows the strategy to perform in any economic environment.

    The main idea of vague and extended mandate which would include various investment instruments is the fact that:

    1. the Compartment is not bound by the term (it’s set up for unlimited life) and;
    2. during the life of the Compartment the circumstances in each particular sector, country or even particular financial instrument (e.g. stocks vs fixed income or private vs public equity) change with changes in various central bank policies, country policies, major negative events and other factors.

    The Portfolio Manager intents to employ these trends (positive or negative) in order to generate sustainable positive return to investors.

    No sustainable investment objective.

       Privacy Policy and Legal Disclaimer.

       

      Fund details

      TYPE OF INVESTOR
      WELL INFORMED, PROFESSIONALS
      CYSEC REGISTRATION NO.
      RAIF72
      CYSEC REGISTRATION DATE
      12/04/2021
      COMPANY NAME
      ILINSIO CAPITAL RAIF V.C.I.C. LTD
      COMPANY REGISTRATION NO.
      HE418334
      STRATEGY
      Multi Strategy
      DEPOSITARY
      Mega Equity Securities & Financial Services Public Limited
      ADMINISTRATOR
      PRICEWATERHOUSECOOPERS Fund Services Limited
      AUDITOR
      PRICEWATERHOUSECOOPERS Fund Services Limited
      LEGAL CONSULTANT
      L. PAPAPHILIPPOU & Co Ltd

      This section is directed at prospective Well-Informed and / or Professional Investors only, within the meaning of the Alternative Investment Fund Managers Law of 2018, as amended (“AIFM Law”), as amended.

      Registered Alternative Investment Fund (‘RAIFs’) are addressed to Well-Informed or Professional Investors only and do not apply measures aimed to offer protection for retail investors. You are solely responsible for declaring your investor category, subject to all the relevant definitions under the applicable laws and regulations.

      Persons accessing the contents of this website are aware that they are solely responsible for complying with the applicable laws and regulations of their country of residence and/or citizenship. If in doubt, they should seek advice from an independent advisor.

      The prospectuses and KIDs (Key Information Document) of the RAIF units in this website are approved and/or authorized by the Cyprus Securities and Exchanges Commission (‘CySEC’).

      All data and material has been obtained from sources believed to be reliable, but their accuracy is not guaranteed. They are subject to modification without prior notice. Information provided in this website shall not be considered as any kind of undertaking or guarantee whatsoever from GMM Global Money Managers AIFM Ltd.

      Risk Disclaimer

      Any investment inherently carries specific risks. It is incumbent upon all prospective investors to take all reasonable steps and seek professional counsel to examine and ensure the proper understanding of the risks involved and formulate their own judgment independently of GMM Global Money Managers AIFM Ltd, considering also their unique financial circumstances, personal investment objectives and risk tolerance level. Prior to committing to any investment, investors are urged to read the relevant offering documents, with particular emphasis on the investment policies and risk factors.

      Investments in Alternative Investment Funds (‘AIFs’) and Registered Alternative Investment Funds (‘RAIFs’) does not guarantee a return on the investment. Past investment performance is not indicative of future returns. The value of the investment in units of AIFs is subject to increase or decrease, whereas the initial value of the investment is not guaranteed.

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      Persons accessing the contents of this page, do so on their own initiative and out of their own investment interest.