Key Points.

  • Investment Horizon 3-5 years.
  • 10% Target Annual Return (Gross).
  • Liquidity via cash and near cash instruments.
  • Diversified by asset class, sector, geography and liquidity.
  • Fixed income and equity investments in special situations.
  • Pre-IPO and IPO opportunities.
  • Sector focus: Mining, Energy, Renewable Energy, Real Estate, Securitised Lending & Disruptive Technologies.