MIRTIPAN RAIF V.C.I.C. LTD

MIRTIPAN Sub-fund 2

HEDGE FUND, PRIVATE EQUITY, OTHER STRATEGIES

Investment Objective

The objective of the Investment Compartment MIRTIPAN Sub-fund 2 is to deliver positive performance to its unitholders, measured in EUR, by building a diversified portfolio of high-quality alternative investments. The portfolio primarily focuses on:

    Private Equity: Investments in private equity funds, start-ups, and growth-stage companies, either directly or through specialized funds.
    Commodities: Exposure to physical commodities or commodity-linked instruments, achieved through mutual funds or ETFs.
    Distressed Assets: Investments in undervalued or distressed securities, targeting opportunities in recovery or turnaround scenarios.
    Infrastructure: Investments in infrastructure projects or funds, including renewable energy, transport, and utilities.
The portfolio adopts a short-term, dynamic approach to asset allocation, allowing for flexibility in response to changing market conditions. The strategy is designed to optimize returns while actively managing risk to align with the fund’s objectives.

Key Information

LICENCE NO. RAIF 191_2
LICENCE DATE 17/12/2024
COMPANY NAME MIRTIPAN RAIF V.C.I.C. LTD
COMPANY REGISTRATION NO. HE 466742
FUND TYPE RAIF UMBRELLA
STRATEGY Private Equity, 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