The Sub-Fund 3’s investment objective is to provide an annual return of 7-8% net per annum. The Sub-Fund 3 will target investments without geographical restrictions. The AIFM attempts to reduce risks through diversification of the portfolio and ongoing credit analysis, as well as by monitoring economic and legislative developments, but there can be no assurance that it will be successful at doing so. The Sub-fund 3 intends to limit the amount it invests in any single issuer.
Others (Private Credit)
Diversified
01/09/2019
Global
$ 125,000 USD
USD
$ 25,000 USD
Data Not Available
$ 0 USD