The Investment Compartment aims to achieve long-term capital appreciation for its Investment Shareholders, measured in EUR, by strategically investing in global equity securities with a focus on high-growth sectors. The External Manager will pursue this objective through a diversified allocation to primary and secondary capital markets, maintaining a minimum of 60% of the Compartment’s total Net Asset Value (NAV) in common stocks and equity-related securities of U.S. and European issuers.
The portfolio is designed to capitalize on transformative global trends, with targeted investments in:
LICENCE NO. | RAIF 194_1 |
LICENCE DATE | 16/01/2025 |
COMPANY NAME | GE.AN.KO.XY RAIF V.C.I.C. LTD |
COMPANY REGISTRATION NO. | HE 468740 |
FUND TYPE | RAIF UMBRELLA |
STRATEGY | Fund of Funds, Other strategies |
DEPOSITORY | ARGUS STOCKBROKERS LTD |
ADMINISTRATOR | Zeuxis Innovations Ltd |
AUDITOR | Kyriakou & Tapaki |
Address
25 Demostheni Severi Ave., Metropolis Tower,
4th Floor, 1080, Nicosia, Cyprus
Phone
t: +357 22 271 686
support@argusmanager.com