The consultation of the following pages requires your acceptance of the terms and conditions set out below. The following pages may show one or more Fonds Professionnel(s) de Capital Investissement [French Professional Private Equity Fubnd(s)] within the meaning of Article L.214-159 of the French Monetary and Financial Code and/or one or more Fonds Professionnel(s) Spécialisé(s) [French Professional Specialised Fund (s)] within the meaning of Article L.214-154 of that code. In all cases, persons who are subject to restrictions prohibiting the publication or access to information contained on the following pages, such as US citizens, are not allowed to access them.
The subscription or purchase, sale or transfer of units of a Professional Private Equity Fund, whether directly or through an intermediary, are reserved for the investors referred to in Article L.214-160 of the French Monetary and Financial Code and to the other investors mentioned in Section I of Article 423-49 of the General Regulation of the AMF. The subscription or purchase, sale or transfer of units of a Professional Specialised Fund, directly or through an intermediary, are reserved for the investors referred to in Article L.214-155 of the French Monetary and Financial Code and to the other investors mentioned in Sections 2, 3 and 4 of Article 423-27 of the AMF General Regulation. Professional Private Equity Funds and Professional Specialised Funds are not subject to approval by the AMF, but rather to a registration procedure, and may adopt investment rules that form an exemption from approved funds. Their risk may differ significantly compared to more regulated funds, thus potentially distorting a comparison of performance. The following pages in no way constitute any form of promotional material, solicitation, financial advice or offer to buy or sell financial instruments.
The legal documentation for each fund (the rules of Professional Private Equity Fund(s) or the prospectus of the Professional Specialised Fund) must mandatorily be offered to subscribers prior to subscription, delivered on subscription and made available on request, in addition to the latest available financial statements. These documents are available from TWENTY FIRST CAPITAL. Past performance is not a reliable indication of future results. Therefore, past performance should not be the main factor in the subscriber’s investment decision.
You are reminded that subscription for units or shares of mutual funds is risky. For more information on the risks for each Fund, reference should be made to its up-to-date legal documentation. The tax treatment of investments in mutual fund units or shares will depend on each individual investor’s personal fiscal status and may be subject to change.
All information presented on the following pages is from sources deemed to be reliable. However, TWENTY FIRST CAPITAL accepts no liability whatsoever for direct or indirect loss arising from the use by anyone of the information contained therein.
Management of SALAM PAX SICA, UCITS Luxembourg funds.
Kindly find below the prospectus & KIID of Salam Pax funds