Category
Private Equity
Investor Type
Well Informed
Professionals
SFDR Disclosure
No sustainable investment objective
Investment Objective
The Company will employ a quantitative approach with strict risk management protocols to manage and control downside, whenever listed instruments are concerned. A systematized approach, coupled with the core tenet of prudent portfolio management – diversification, allows the strategy to perform in any economic environment.
The main idea of vague and extended mandate which would include various investment instruments is the fact that:
- the Compartment is not bound by the term (it’s set up for unlimited life) and;
- during the life of the Compartment the circumstances in each particular sector, country or even particular financial instrument (e.g. stocks vs fixed income or private vs public equity) change with changes in various central bank policies, country policies, major negative events and other factors.
The Portfolio Manager intents to employ these trends (positive or negative) in order to generate sustainable positive return to investors.
No sustainable investment objective.
Fund details
WELL INFORMED, PROFESSIONALS
RAIF72
12/04/2021
ILINSIO CAPITAL RAIF V.C.I.C. LTD
HE418334
Multi Strategy
Mega Equity Securities & Financial Services Public Limited
PRICEWATERHOUSECOOPERS Fund Services Limited
PRICEWATERHOUSECOOPERS Fund Services Limited
L. PAPAPHILIPPOU & Co Ltd
Investment Objective
The Company will employ a quantitative approach with strict risk management protocols to manage and control downside, whenever listed instruments are concerned. A systematized approach, coupled with the core tenet of prudent portfolio management – diversification, allows the strategy to perform in any economic environment.
The main idea of vague and extended mandate which would include various investment instruments is the fact that:
- the Compartment is not bound by the term (it’s set up for unlimited life) and;
- during the life of the Compartment the circumstances in each particular sector, country or even particular financial instrument (e.g. stocks vs fixed income or private vs public equity) change with changes in various central bank policies, country policies, major negative events and other factors.
The Portfolio Manager intents to employ these trends (positive or negative) in order to generate sustainable positive return to investors.
No sustainable investment objective.
Fund details
WELL INFORMED, PROFESSIONALS
RAIF72
12/04/2021
ILINSIO CAPITAL RAIF V.C.I.C. LTD
HE418334
Multi Strategy
Mega Equity Securities & Financial Services Public Limited
PRICEWATERHOUSECOOPERS Fund Services Limited
PRICEWATERHOUSECOOPERS Fund Services Limited
L. PAPAPHILIPPOU & Co Ltd