MIRTIPAN RAIF V.C.I.C. LTD

MIRTIPAN Sub-fund 1

HEDGE FUND, FUNDS OF FUNDS, OTHER STRATEGIES

Investment Objective

The fund seeks to deliver long-term capital appreciation to its unitholders, measured in EUR, by investing in a well-diversified portfolio of high-quality assets. The portfolio will include:

    Equities: Investments in shares of publicly listed companies across various sectors and geographies.
    Fixed Income Securities (Bonds): Investment-grade and high-yield bonds issued by governments, corporations, and supranational organizations.
    Mutual Funds and Exchange-Traded Funds (ETFs): Pooled investment vehicles providing exposure to diversified asset classes and strategies.
    Cash and Cash Equivalents: Liquid instruments such as money market funds, short-term bonds, and treasury bills for liquidity management.
    Alternative Investments: Focused exposure to private equity, commodities, distressed assets, infrastructure, and other non-traditional asset classes, primarily through specialized mutual funds or ETFs.
The portfolio employs a long-term strategic asset allocation approach, designed to optimize returns while maintaining a balanced risk profile. This strategy incorporates dynamic asset selection, regular portfolio rebalancing, and robust risk management measures to align with the fund's objective of achieving sustainable growth over time.

Key Information

LICENCE NO. RAIF 191_1
LICENCE DATE 17/12/2024
COMPANY NAME MIRTIPAN RAIF V.C.I.C. LTD
COMPANY REGISTRATION NO. HE 466742
FUND TYPE RAIF UMBRELLA
STRATEGY Fund of Funds, Hedge Fund, Other strategies
DEPOSITORY ARGUS STOCKBROKERS LTD
ADMINISTRATOR Yiallourides & Partners Ltd
AUDITOR Kyriakou & Tapaki

Contact Us

Address

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

Phone

t: +357 22 271 686

Email

support@argusmanager.com