Private Markets Range:
Private Finance (PF) Private Equity (PE) Sustainable Opportunities (SO)
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Specialist Range:
Natural Resources (NR) Real Estate (RE)
 

SO3

Latest NAV
31 March 2012     63.3000
 

 

Fund Terms
Fund NameSPL Sustainable Finance (SO3) IC Ltd
Investment ManagerSpearpoint Limited
Fund DomicileGuernsey, Channel Islands
Legal StructureClosed end Guernsey Incorporated Cell
PricingNAV publication
Portfolio CurrencyGBP
Inception Date21 May 2007
Management Fees1.50% p.a.
Performance FeesBased on cash proceeds on realisation
AdministratorElysium Fund Management Limited
Custodian ABN AMRO (Guernsey) Limited
ISIN CodeGG00B1XLND02
SEDOL NumberB1XLND0
Bloomber TickerARCHSO3 GU
Contact Details
Email Elysium@elysiumfundman.com
Telephone00 44 1481 810100

All telephone calls may be recorded.

SO3

SPL Sustainable Finance (SO3) IC Ltd

Asset Image SO3
Fund Overview

SPL Sustainable Finance (SO3) IC Ltd

(Please refer to the Scheme Particulars for details)

The Investment Manager will manage the Fund’s portfolio with a view to realising its assets within the shortest period of time consistent with achieving a reasonable realisation price for such assets and with the intention of disposing of all such assets within 5 years. Realisations will be managed, as far as possible, with a view to ensuring regular and consistent distributions of proceeds to Shareholders.