Why choose us ...

…we work together as a team to create long-term value for our clients, investors, companies and unitholders.

Professionalism & Quality

Argus Engine is HUMAN.
Argus team is the key to our continued success. Our team has a wide variety of experience in financial and investment backgrounds devoted to achieving your goals

Experience

Argus transforming Ideas into Actions
Blending knowledge and financial discipline with an entrepreneurial mood, we achieve results. Team with 20+ years experience collaboration in portfolio management, proven actual track record
Focused and experienced, we know what we do, and we do it well

Expertise

Argus is powered by our people and commitment to excellence. We hire people, invest in their development and assign tasks to quickly build experience. Team of experienced, specialized professionals offering continuity and stability. Specialized team dedicated to delivering sustainable and superior long-term performance

What We Do

MARKET-LEADING INVESTMENT FIRM

ARGUS provides expertise in all asset classes, including Private Equity focus in the Energy and Telecommunications sectors. We currently oversee assets by utilizing a diversified portfolio of Cyprus Registered AIFS to offer solutions for complex situational investing opportunities. Our fund range highlights our expertise in Private Equity with an emphasis in Energy and Technology.
Strict adherence to ESG

Real Estate
Private Equity
Hedge Fund *
Multi Assets Strategies*
Equity & Infrastructure (Public Markets)*

* Offered by Argus Stockbrokers

Global
Asset
Management
Risk
Management
Fund
Structuring
Private
Equity
Solutions

About Us

Argus Management Ltd is regulated by the Cyprus Securities and Exchange Commission (CySEC) as AIF Manager (AIFM) under licence number AIFM 44/56/2013.

Argus Management operates in the financial sector, setting up, running and managing Alternative Investment Funds (AIFs) and Registered Alternative Investment Funds (RAIFs) in line with the most recent EU Directives, fully implemented under Cypriot legislation.

Argus Management has been established by a team that brings together more than 20 years of experience in fund and investment management services, ready to provide high quality services and innovative solutions.

Argus Management is an innovative fund manager based in Cyprus with objective to preserve the capital it manages and to achieve optimal yields.

Our core existence are driven by our values at all times, they drive our philosophy and our success.

Our team is handpicked and selected carefully based on trust, loyalty, and character display.

Our capabilities, are driven by our diverse backgrounds and willingness of knowledge sharing.

Our experience ensures we select only industry leaders as our partners to install total confidence.

Our promise is our excellence, which comes by offering total comfort and confidence to clients.

Our Core Strengths

20 years proven actual track record best in class cost efficient returns

Dynamic investment approach combining long term strategic targets with tactical views to produce above average investment returns

High caliber team with demonstrated multi asset experience for over 15 years offering continuity and stability

Solid foundations to deliver long term performance. Long term view enhances returns by offsetting market fluctuations

Strict governance and asset protection procedures for ringfencing and oversight

Diversified multi asset global access

Our Team

Maria Parpotta | Executive Director

Maria Parpotta is the Chief Executive Director, Head of Compliance and Risk Manager at Argus Management. She holds a BSc in Mathematics and an MSc in Mathematical Finance from the University of York and has earned certifications in Advanced Financial Modelling & Company Valuation, the Advance Certificate in Financial Services Legal Framework by CISI, and AML certification by CySEC. With over 12 years of extensive experience in the financial sector, Maria has developed expertise in compliance, AML, and risk management functions, focusing on regulatory frameworks and operational efficiency. Maria has demonstrated a strong track record in developing robust compliance policies, collaborating with international regulatory authorities, and embedding effective risk management systems across diverse organizations. Her technical precision and deep industry knowledge have enabled her to implement practical solutions to complex challenges while driving sustainable operational growth. Known for her structured and methodical approach, Maria consistently upholds the highest standards of integrity and professionalism, earning the trust of stakeholders and establishing herself as a respected figure in the financial markets, financial services, and funds industries.

Constantinos Tringides | Executive Director

Constantinos Tringides is the General Manager and Portfolio Manager of Argus Management. He is a holder of an Economics degree from Aristotle University of Thessaloniki and he currently holds the CySEC Advanced certification. He is a member Associate of the Chartered Institute for Securities & Investment and a Chartered Quality Institute Practitioner. Constantinos has been employed at the position of Assistant Asset Manager since January 2011 until November 2021, by Argus Stockbrokers Ltd, a licensed Investment Firm and Investment Manager of Institutional Portfolios & Collective Investment Funds. Between 2000-2010, he was the Executive Manager and Lead Advisor in the Consulting Unit of Argus Financial Group Plc, where he has gained significant experience in the fields of EU funding, corporate finance and HR management.

Dr Marios Soupashis | Independent Non-Executive Director

Dr Marios Soupashis is a holder of a DProf Degree in Economics, an MBA in Finance & Money and a BSc in Electrical Engineering and a BSc in Mathematics. He holds the CySEC advanced certification among other professional certifications. His previous work experience includes employment at Bank of Cyprus Group in Investment Strategy and Advisory Management as CISCO Head of Brokerage, and in Bank of Cyprus Factors, where he gained significant experience in the fields of strategy, asset management and corporate finance. He has served as the Secretary of Product Governance and Secretary of the Investment Committee of Bank of Cyprus Wealth Management Division. He has been also member of managing committees of several provident funds and a lecturer in Finance at University of Cyprus and the Cyprus Institute of Marketing. Dr Soupashis has significant experience in investment strategy, wealth management, portfolio management and risk metrics.

Georgios Phokas | Independent Non-Executive Director

Georgios Phokas holds a BA in Business Management and is certified as an Anti-Money Laundering Compliance Officer by the Cyprus Securities and Exchange Commission (CySEC), along with the CySEC Basic Level Certification. Georgios's professional experience includes his role as Director and Compliance Officer at I.S. Inter Support Management Services Ltd, where he leads strategic planning, financial management, and compliance oversight. His career spans over a decade in fiduciary services, wealth management, and risk management. He has a proven track record in financial analysis, developing business strategies, client advisory services, and AML compliance procedures. In his role at I.S. Inter Support, he has been responsible for overseeing the firm's compliance department, ensuring adherence to regulatory requirements, and designing internal controls to mitigate risk. He also specializes in advising clients on asset management and investment strategies. Georgios has cultivated significant experience in operational efficiency, financial forecasting, client relationship management, and team leadership. His dedication to excellence and compliance makes him a cornerstone of his firm's success.

Our mission is to help you achieve your investment goals with excellence and professionalism, through the provision of Fund Management services by our team and network of expertise.

By aligning our core values of trust, expertise and excellence to the aspirations of our clients, we deliver tailored solutions that brings their visions to success.

Services

Portfolio Management

Portfolio Management services delivered by Argus Management Ltd, support the AIF and RAIF, its promoters and investment advisors during the investment and disinvestment processes by reviewing the investment proposals and by ongoing monitoring of the investment portfolio.

Argus Management Ltd implements checks and monitoring over the delegated portfolio managers and support AIFs and RAIFs operationally during the investment process by organizing the investment committee meetings and during the implementation of the investment decisions.

The operating license of Argus Management Ltd covers the management of AIFs and RAIFs following the strategies of: Private Equity, Real Estate, Hedge Funds, Fund of Funds and other strategies.

Outlying Portfolio Management services (including oversight and responsibility regardless of any delegations):

  • Formulation of portfolio statement
  • Development of portfolio strategy
  • Parameterizing of portfolio strategy
  • Implementation of portfolio strategy
  • Monitoring of portfolio Strategy
  • Analysis and rebalancing of portfolio strategy

Risk Management

The risk management framework of the company has been designed and implemented in compliance with AIFMD requirements. Both a quantitative and a qualitative analysis of the risk factors is conducted, and liquidity analysis and stress tests are performed on the AIFs under our management.

  • Implement effective risk management policies and procedures to identify, measure, manage and monitor on an ongoing basis all relevant risks
  • Ensure that the risk profile of the AIF is consistent with risk limits set
  • Monitor risk limits of portfolio of investments
  • Report to AIFM’s governing body and senior management
  • Confirm the adequacy of risk management systems
  • Liquidity risk management including but not limited to matters regarding gates and partial redemptions and suspensions, temporary borrowings, side pockets, lock up periods and penalties, and notice periods (cut off dates ahead of dealing points)
  • Management of leverage and exposures of the Fund
  • Oversight of operational Risks in terms of minimum the below specifics
  • Information technology risks
  • Risk of key persons involved in the Fund’s operations
  • Oversight of the investment reconciliation process performed by fund administrators and custodians
  • Risks emanating from trading, settlement and valuation services
  • Risk parameters disclosed to investors and regulatory authorities

Compliance

We ensure that the funds we manage are compliant with legal and regulatory requirements. We are able to assist with the below:

  • Regulatory liaison;
  • Support on the implementation of new regulation;
  • Monitoring, evaluation and reporting of compliance risks;
  • Assistance in the control of compliance risks.
  • Management of complaints and investor relations where appropriate
  • Reporting to regulatory authorities
  • Conflict of interest monitoring and management
  • Compliance, Anti-Money Laundering, and regulatory oversight

Oversight

Our team performs oversight, due diligence and monitoring of the processes, procedures and ongoing activities of the Administrator, the Depositary, the Distributors, and the Valuers.

Fund Structuring

We can assist and advise on how you can structure your fund based on your needs.

Fund Licencing

We can prepare the application for the Regulator and follow the comments until final authorization.

RAIF Registering

We can prepare the notification package for the Regulator for registering (RAIFs).

Funds

Contact Us

Address

25 Demostheni Severi Ave., Metropolis Tower,
4th Floor, 1080, Nicosia, Cyprus

Phone

t: +357 22 271 686

Email

support@argusmanager.com